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Treasury & Cash Flow Manager - CAN

Anime Universe

Toronto

Remote

CAD 125,000 - 150,000

Full time

Yesterday
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Job summary

A leading entertainment company is seeking a Treasury & Cash Flow Manager to drive financial strategy and manage liquidity. This equity partner position does not offer upfront cash compensation but focuses on equity and future rewards. Candidates should have over 6 years of financial operations experience, strong technical skills, and excel in a remote-first environment. Build effective cash flow models and collaborate with teams to enable informed decision-making.

Qualifications

  • 6+ years in treasury, financial operations, or corporate finance.
  • Expertise in liquidity management, cash forecasting, and capital allocation frameworks.
  • Proficiency in Excel or Google Sheets financial modeling.

Responsibilities

  • Build cash flow forecasting models across business units.
  • Oversee global banking relationships and internal controls.
  • Work with various departments for cash flow coordination.

Skills

Liquidity management
Cash forecasting
Capital allocation frameworks
Financial modeling in Excel or Google Sheets
Clear communication

Tools

Financial dashboards
Treasury software

Job description

Job Description

Treasury & Cash Flow Manager

Equity Partner

Location : Remote

Jurisdiction : Global

Minimum Commitment : 20 hours per week

Department : Finance & Funding

Reports To : CFO / Finance Leadership

What You Put In Is What You Get Out

This is not a job. It’s a stake.

A rare entrepreneurial opportunity to create something legendary from the ground up—and we want you in the room.

Minimum commitment : 20 hours / week. If that’s not realistic for you, this isn’t the right fit. No hard feelings—we respect clarity.

We are offering an equity partner role, not a traditional salaried position. That means :

  • No upfront cash compensation
  • Equity (shares) plus potential future token-based rewards (pending legal clearance)
  • Future salary unlocked by revenue milestones
  • Remote-first, async-friendly, autonomy-heavy global team

Why Join Anime Universe?

At Anime Universe, we’re building the infrastructure behind a generational movement in entertainment, technology, and fandom. Our mission spans multiple continents, currencies, entities, and revenue models—and your work will be at the core of keeping that engine running.

As our Treasury & Cash Flow Manager, you’ll design and operate our financial heartbeat : managing liquidity, planning capital deployment, and ensuring we always know where our money is, where it’s going, and what it’s enabling.

Role Overview

You’ll be responsible for building the systems and dashboards that give AU financial clarity at every stage. From cash flow modeling to treasury oversight, you’ll play a mission-critical role in enabling our creative, technical, and operational teams to move quickly without losing control.

This role isn’t about spreadsheets—it’s about financial architecture.

What You’ll Own

Cash Flow Strategy & Planning

  • Build short-term and long-term cash flow forecasting models across business units
  • Monitor incoming / outgoing capital and proactively model burn, runway, and growth scenarios
  • Run dynamic liquidity modeling based on hiring, production, and fundraising plans
  • Treasury Operations & Controls

  • Oversee global banking relationships, digital wallet governance, and internal controls
  • Design capital allocation frameworks and help guide investment strategies
  • Partner with leadership on treasury policies, crypto custody, FX exposure, and payment rails
  • Financial Systems Setup

  • Help deploy and optimize tools for treasury management, cash tracking, and real-time financial data visualization
  • Ensure that financial systems integrate cleanly with our accounting and HR functions
  • Cross-Team Collaboration

  • Work with FP&A, Legal, Tech, and HR to ensure seamless reporting and cash flow coordination
  • Help operational leads make informed spending decisions with clear capital visibility
  • Provide real-time financial insights to the CFO and CEO for strategic decision-making
  • What You Bring to the Table

    Financial Strategy Experience

  • 6+ years in treasury, financial operations, or corporate finance
  • Expertise in liquidity management, cash forecasting, and capital allocation frameworks
  • Comfort working with both fiat and digital assets
  • Technical Fluency

  • Proficiency in Excel or Google Sheets financial modeling
  • Familiarity with financial dashboards, reporting tools, and treasury software
  • Ability to design and implement financial processes across entities and currencies
  • Clear Communication & Ownership

  • You translate numbers into actionable recommendations
  • You proactively share insights and flag risk before it becomes reality
  • You’re organized, independent, and thrive in a remote-first environment
  • Bonus Points For

  • Experience building treasury functions from scratch in an early-stage company
  • Knowledge of crypto custody and treasury protocols
  • Experience supporting multiple entities across different geographies
  • Strong familiarity with startup burn rate tracking and operational runway modeling
  • Prior work in entertainment, tech, or IP-driven businesses
  • How We’ll Know You’re Crushing It

  • Cash flow models are accurate, trusted, and frequently used
  • Treasury is streamlined and secure, with clear oversight and no surprises
  • Teams make smarter decisions because they’re financially informed
  • Leadership can answer, “Are we healthy?” in under 10 seconds
  • Our capital is enabling growth, not getting in the way of it.
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