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Treasury Operations Cash Management Associate Jobs

Manage cash liquidity forecast, debt operations, and banking relationship management * Support ... Own treasury-related month/quarter-end close activities and partner closely with Accounting to ...

Treasury Operations Manager Miami (USA), London (UK), Bengaluru (India) OpenFX is on a mission to ... Treasury & Cash Management: * Manage daily cash positions and liquidity across multiple currencies ...

Treasury Operations Manager Miami (USA), London (UK), Bengaluru (India) OpenFX is on a mission to ... Treasury & Cash Management: * Manage daily cash positions and liquidity across multiple currencies ...

Junior Treasury Analyst The Junior Treasury Analyst will support the Treasury team in managing global cash management, in-house bank operations, intercompany funding activities, and banking ...

Senior Treasury Analyst

Grand Rapids, MI ยท On-site

$35 - $46/hr

... treasury, cash management, banking, payment operations, or finance experience * Strong ... In addition, our associates may be eligible for paid leave including Paid Sick Leave or any other ...

Treasury Associate Company: American Commercial Barge Line Location: Jeffersonville, IN Job Type ... Perform daily cash management operations. * Run pay cycles, process daily wire transfers, and ...

Role Description The Treasury Operations Specialist is a full-time remote role responsible for ... This position manages cash positioning, monitors bank account activity, and assists with bank ...

Treasury Operations Analyst I

Scottsdale, AZ ยท On-site

$46K - $67K/yr

This role is responsible for daily treasury services and activities, including cash management, reconciliation, and operational cash movements. Key Responsibilities * Reconcile the cleared checks ...

Director of Tax & Treasury

San Francisco, CA ยท Remote

$200K - $275K/yr

You'll own the company's global tax strategy, treasury operations, banking relationships, cash management, and liquidity planning while partnering closely with Accounting, FP&A, Legal, and executive ...

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Treasury Operations Cash Management Associate information

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How much do treasury operations cash management associate jobs pay per hour?

As of Sep 10, 2026, the average hourly pay for treasury operations cash management associate in the United States is $21.55, according to ZipRecruiter salary data. Most workers in this role earn between $17.55 and $22.84 per hour, depending on experience, location, and employer.

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For Treasury Operations Cash Management Associate jobs, the most frequently searched job titles are:

Infographic showing various Treasury Operations Cash Management Associate job openings in the United States as of August 2026, with employment types broken down into 1% As Needed, 84% Full Time, 13% Part Time, and 2% Contract. Highlights an 83% Physical, 2% Hybrid, and 15% Remote job distribution, with an average salary of $44,834 per year, or $21.6 per hour.

Director, Treasury

Redwood City, CA โ€ข On-site

Other

Posted 10 days ago


Job description

About Zลซm:

Zลซm is revolutionizing mass mobility with its Connected Mobility Experience (Zลซm CMXโ„ข) system that connects and coordinates people, vehicles, and operations in real time. In the $50 billion student mobility market โ€“ the largest segment of the mass mobility industry โ€“ Zลซm CMX is transforming a daily source of anxiety and disruption into a reliable, transparent, and efficient mobility experience for students and families. Today, more than 6,500 schools rely on Zลซm CMX. Recognized globally for its innovative approach and operational execution, Zลซm has been named to Fast Companyโ€™s Worldโ€™s Most Innovative Companies, CNBC Disruptor 50 and Changemakers, the World Economic Forum, and the Financial Timesโ€™ Fastest Growing Companies lists. Zลซm is backed by leading investors including Sequoia Capital, GIC, TPG, and Softbank.

This role requires to be in-office Monday, Tuesday, and Thursday at our headquarters in Redwood City, CA. We will only consider candidates currently living and within a reasonable commuting distance to our Bay Area HQ.

Who You Are:

We are seeking an experienced, results-driven Director of Treasury to lead the execution of financing and debt-management activities while maintaining strong controls and compliance across cash forecasting and treasury operations. Reporting to the VP Treasurer, this role will strengthen cash forecasting, optimize working capital and capital deployment, and maintain strong controls, compliance, and risk governance. The Director will partner with senior leadership and external financial partners to support financial resilience and long-term growth.

The Director partners closely with the executive leadership, operations, commercial, supply chain, and external financial partners to drive cash flow predictability, optimize capital deployment, strengthen balance sheet performance, and ensure disciplined governance across all cash-related activities. The role serves as a key advisor on capital planning, debt management, and financial risk mitigation.

Responsibilities: Cashflow Forecast and Liquidity Management
  • Manage cash forecasting, other interest/income and expense forecast, and debt management; partner with FP&A and Accounting to improve accuracy, analyze variances, and deliver insights to senior leadership
  • Manage cash liquidity forecast, debt operations, and banking relationship management
  • Support banking relationship, including coordination of banking terms, covenants, credit lines, and fees to optimize cost savings and improve service delivery
  • Own treasury-related month/quarter-end close activities and partner closely with Accounting to ensure accurate and timely close
Capital Markets and Allocation
  • Manage the debt-equity portfolio in compliance with Zumโ€™s financing strategy and policy; optimize yield, capital needs and bank fees to improve overall treasury efficiency
  • Develop sophisticated financial models to evaluate capital allocation strategies, including share buybacks, debt repayment, M&A funding, repatriation, and internal R&D investment.
  • Manage treasury strategic reporting including market trends and peer benchmarks to advise senior management on capital structure and return-of-capital frameworks.
Compliance and Reporting
  • Support compliance with all debt covenants and reporting requirements outlined in loan agreements and credit facilities. Monitor for potential covenant breaches, working closely with internal stakeholders
  • Support the development and maintenance of policies and procedures for treasury operations to ensure adherence to best practices and governance standards
  • Support public company readiness by strengthening treasury governance, controls, documentation, and reporting processes to meet SOX, audit, SEC, and broader public company requirements. Drive process improvements across treasury workflows leveraging AI, automation, and next-generation treasury management systems to reduce manual intervention and enable real-time operations
  • Support the corporate insurance program, including renewals, coverage assessments, and broker relationships
  • Develop and maintain dashboards and reporting tools to provide real-time visibility into cash positions, liquidity, and treasury metrics
  • Collaborate with internal stakeholders, including accounting, FP&A, Legal, Operations, Accounting, to align treasury activities with broader financial objectives
  • Backup to the issuance, renewal, letter of credit, and bank guarantees and bid/bond surety program
Qualifications
  • Bachelor's degree in finance, accounting, economics, or related field; CTP or MBA preferred
  • 10+ years of progressive experience in treasury operations, cash management, or corporate finance
  • Strong knowledge of cash flow forecasting, liquidity management, and treasury systems
  • Experience Treasury Management Systems (TMS), NetSuite and Zip platforms
  • Demonstrated ability to support banking relationships and coordinate agreements
  • Understanding of financial risk management
  • Strong analytical, problem-solving, and decision-making skills
  • Excellent communication and interpersonal skills, with the ability to collaborate across departments

Zลซm Services, Inc. and all its subsidiaries provide equal employment opportunities to all employees and applicants for employment and prohibits discrimination and harassment of any type without regard to race, color, religion, age, sex, national origin, disability status, genetics, protected veteran status, sexual orientation, gender identity or expression, or any other characteristic protected by federal, state or local laws.

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