Global Treasury & Liquidity Strategist

Divvy Cloud Corp.

Boston (MA)

On-site

USD 113,000 - 153,000

Full time

5 days ago
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Job summary

Rapid7 is seeking an experienced Treasury Manager to advance our global Treasury strategy and transformation agenda. You will partner with the Treasurer to manage liquidity, risk, debt, insurance, and Treasury technology across the organization.

You will develop analytics, dashboards, and reporting to support decision-making and cross-functional initiatives with Accounting, FP&A, Tax, Legal, and IT teams. The role emphasizes process automation and scalable Treasury capabilities.

Qualifications

  • 5+ years of progressive corporate Treasury or related Finance experience.
  • Strong financial modeling and scenario-planning skills.
  • Knowledge of FX, debt and capital markets, investments, and corporate insurance.
  • Experience with Treasury technology and transformation initiatives.
  • Ability to manage multiple workstreams and communicate clearly with senior stakeholders.
  • Professional certifications preferred (CTP / CPA).

Responsibilities

  • Partner with the Treasurer on global liquidity management, cash forecasting, and funding strategy.
  • Support FX strategy development, hedging, reporting and analytics.
  • Assist debt and capital structure activities including refinancing analysis.
  • Support global insurance program including renewals and coverage optimization.
  • Drive Treasury technology implementations and process improvements.
  • Develop dashboards and management reporting for liquidity, investments, and risk.
  • Collaborate with Accounting, FP&A, Tax, Legal, IT and other teams.

Skills

Financial modeling
Scenario planning
Liquidity management
Cash forecasting
Foreign exchange
Debt and capital markets
Insurance
Treasury technology
Project management
Stakeholder communication
Cross-functional collaboration
Analytical judgment
Process automation

Education

CTP
CPA

Tools

Treasury Management System
Bank connectivity

Job description

Rapid7 is seeking an experienced Treasury Manager to advance our global Treasury strategy and transformation agenda. You will partner with the Treasurer to manage liquidity, risk, debt, insurance, and Treasury technology across the organization.

You will develop analytics, dashboards, and reporting to support decision-making and cross-functional initiatives with Accounting, FP&A, Tax, Legal, and IT teams. The role emphasizes process automation and scalable Treasury capabilities.

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