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Treasury Risk Management Jobs in California (NOW HIRING)

Reporting to the VP Corporate Controller, you will build the treasury function from the ground up - establishing cash management infrastructure, banking relationships, FX risk management frameworks ...

Reporting to the VP Corporate Controller, you will build the treasury function from the ground up -- establishing cash management infrastructure, banking relationships, FX risk management frameworks ...

New

You'll be a critical leader across global cash management, liquidity reporting, cash forecasting, foreign exchange risk management, bank account administration, and treasury technology innovation.

You'll be a critical leader across global cash management, liquidity reporting, cash forecasting, foreign exchange risk management, bank account administration, and treasury technology innovation.

You'll be a critical leader across global cash management, liquidity reporting, cash forecasting, foreign exchange risk management, bank account administration, and treasury technology innovation.

Develop and implement Harness' FX risk management policy across ILS, INR, ARS, GBP, EUR, and other ... Support IPO treasury workstreams: balance sheet presentation, cash flow accuracy, and auditor ...

Develop and implement Harness' FX risk management policy across ILS, INR, ARS, GBP, EUR, and other ... Support IPO treasury workstreams: balance sheet presentation, cash flow accuracy, and auditor ...

New

Supporting broader enterprise risk management efforts that may intersect with treasury * Providing recommendations and execution on the share buyback plan * Analyzing debt capacity and determining ...

Develop and execute Notion's global treasury strategy, including cash management, investments, risk management, and banking relationships * Own and develop cash flow forecasts to optimize liquidity ...

New

Treasury Lead

Los Angeles, CA · On-site

$79K - $106K/yr

As a Treasury Lead, you will play a critical role in managing the organization's cash flow ... Partner with stakeholders to support risk management activities, including insurance certification ...

Showing results 21-40

Treasury Risk Management information

See California salary details

$49.3K

$99.2K

$146.6K

How much do treasury risk management jobs pay per year?

As of Aug 19, 2026, the average yearly pay for treasury risk management in California is $99,221.00, according to ZipRecruiter salary data. Most workers in this role earn between $81,400.00 and $117,400.00 per year, depending on experience, location, and employer.

What is treasury risk management?

A Treasury Risk Management job involves identifying, assessing, and mitigating financial risks related to an organization's cash flow, liquidity, investments, and market exposure. Professionals in this role manage risks from interest rates, foreign exchange, credit, and operational factors to protect the company's financial stability. They develop risk policies, use hedging strategies, and ensure compliance with regulatory requirements. Their goal is to optimize capital management while minimizing financial exposure.

What are typical challenges faced by professionals in treasury risk management roles?

Professionals in Treasury Risk Management often face challenges such as managing complex cash flows across multiple jurisdictions, responding quickly to volatile financial markets, and ensuring compliance with evolving regulatory requirements. The role frequently involves collaborating with other departments like accounting, corporate finance, and legal teams to assess and mitigate risk exposures. Adaptability and continuous learning are essential since financial instruments, technologies, and regulations are constantly changing. Overcoming these challenges is both demanding and rewarding, providing opportunities to develop deep expertise and advance to higher managerial or strategic roles within the organization.

What are the key skills and qualifications needed to thrive in treasury risk management?

To thrive in Treasury Risk Management, a solid foundation in finance, accounting, and risk analysis is typically required, often supported by a degree in finance, economics, or a related field. Familiarity with treasury management systems (TMS), Excel, and analytical tools, as well as certifications like the Certified Treasury Professional (CTP), are commonly expected. Strong attention to detail, communication skills, and problem-solving abilities distinguish top performers in this role. These competencies are critical for effectively identifying, analyzing, and mitigating financial risks to ensure organizational stability and regulatory compliance.

Is treasury risk management a good career?

Treasury risk management is a valuable career for those interested in financial analysis, risk assessment, and cash flow management. It often requires strong analytical skills, knowledge of financial markets, and certifications such as CFA or FRM. The role offers opportunities for advancement in finance and corporate sectors, with a focus on safeguarding assets and optimizing liquidity.

What does a treasury risk management do?

A treasury risk management professional oversees a company's financial risks related to liquidity, interest rates, foreign exchange, and credit. They analyze financial data, develop risk mitigation strategies, and use tools like financial modeling and risk assessment software to protect the organization's assets and ensure financial stability.

What are the most commonly searched types of Treasury Risk Management jobs in California?

The most popular types of Treasury Risk Management jobs in California are:

What are popular job titles related to Treasury Risk Management jobs in California?

For Treasury Risk Management jobs in California, the most frequently searched job titles are:

What job categories do people searching Treasury Risk Management jobs in California look for?

The top searched job categories for Treasury Risk Management jobs in California are:

Infographic showing various Treasury Risk Management job openings in California as of August 2026, with employment types broken down into 1% As Needed, 87% Full Time, 10% Part Time, and 2% Contract. Highlights an 84% Physical, 3% Hybrid, and 13% Remote job distribution, with an average salary of $99,221 per year, or $47.7 per hour.

Senior Manager, Treasury

Harness

San Francisco, CA • Hybrid

Full-time

Medical

Re-posted 24 days ago


Job description

Position Summary

This is Harness' inaugural in-house treasury hire. Reporting to the VP Corporate Controller, you will build the treasury function from the ground up - establishing cash management infrastructure, banking relationships, FX risk management frameworks, and liquidity reporting processes for a rapidly growing global company operating in multiple currencies and jurisdictions.

This is a unique opportunity for a treasury professional who thrives on building: you will design the policies, implement the tools, and create the reporting frameworks that will support Harness through its pre-IPO growth and eventual public market journey. The right candidate is operationally excellent, intellectually curious, and ready to bring institutional-quality treasury discipline to a high-growth technology company.

About the role

Cash Management & Liquidity

  • Build and manage global cash management infrastructure across multiple operating entities and banking partners
  • Develop daily, weekly, and monthly cash flow forecasting; deliver liquidity analysis and reporting to the Controller, CFO, and Board
  • Establish cash pooling, intercompany funding, and working capital management across global entities
  • Manage short-term investment strategy for the company's cash balance in coordination with external advisors

Banking & Financial Institution Relationships

  • Serve as Harness' primary point of contact for all global banking relationships
  • Rationalize and optimize the banking structure; open accounts across new jurisdictions as the company grows
  • Negotiate fee structures, credit facilities, and service agreements; partner with Payroll and AP to support multi-country payroll funding and vendor payments

Foreign Exchange Risk Management

  • Develop and implement Harness' FX risk management policy across ILS, INR, ARS, GBP, EUR, and other currencies
  • Monitor FX exposures from payroll, vendor payments, and intercompany transactions; recommend and execute hedging strategies as appropriate
  • Navigate ARS-specific complexities including currency controls, official vs. parallel rate considerations, and cash repatriation
  • Partner with the Controller and Accounting on FX treatment under ASC 830

Treasury Policy, Controls & IPO Readiness

  • Author and maintain global treasury policies covering cash management, investments, and FX risk
  • Design and implement SOX-ready treasury controls and documentation
  • Support IPO treasury workstreams: balance sheet presentation, cash flow accuracy, and auditor diligence
  • Evaluate and implement a treasury management system (TMS) to scale operations efficiently

Cross-Functional Partnership

  • Partner with Payroll on timely, compliant funding across the US, India, Israel, and Argentina
  • Collaborate with Legal and Accounting on capitalization events, tender offers, and equity-related transactions
  • Support the Controller on treasury disclosures and audit inquiries; provide FP&A with cash flow forecasting inputs and capital allocation modelin
About you
  • 7-10 years of progressive treasury experience in technology and/or financial services; with hands-on global cash management, multi-currency operations, and banking relationship management
  • Prior experience building or significantly expanding a treasury function at a high-growth company strongly preferred
  • Working knowledge of FX risk management, hedging instruments, and ASC 815 hedge accounting; emerging market and ARS experience a significant advantage
  • Familiarity with treasury management systems and strong financial modeling skills
  • Solid understanding of SOX controls in treasury; IPO or public company audit experience a plus
  • Strong communicator across time zones - comfortable with banking partners, auditors, and executive leadership alike
  • CTP preferred; CPA or equivalent a plus
  • SaaS or high-growth startup experience strongly preferred
Work Location
  • Hybrid from San Francisco 
What you will have at Harness
  • Competitive salary
  • Comprehensive healthcare benefits
  • Flexible Spending Account (FSA)
  • Flexible work schedule
  • Employee Assistance Program (EAP)
  • Flexible Time Off and Parental Leave
  • Monthly, quarterly, and annual social and team building events
  • Monthly internet reimbursement