Head of Global Payments & Treasury

Loop

Buffalo (NY)

On-site

USD 200,000 - 265,000

Full time

14 days+
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Benefits offered by this job

Health insurance
Dental insurance
Vision insurance
401(k) match
Flexible PTO
Unlimited PTO
Paid holidays
Parental leave

Job summary

Loop is seeking a Head of Payments to build and lead our payments and treasury function as we scale. Reporting to the CFO, you will own liquidity, cash management, banking relationships, capital structure, and financial risk across a global, multi-currency footprint.

This is an in-person role based in the US, with a 4+ days onsite expectation. You will shape strategy, drive automation, oversee forecasting, manage banking facilities, and partner with Finance, Operations, and Product to strengthen

Qualifications

  • 10+ years of treasury or cash management experience.
  • Experience building/leading treasury function.
  • Expertise in liquidity management, banking, cash operations, and multi-currency risk.
  • Strong analytical skills and cash forecasting.
  • Excellent communication with executives and Board.
  • Experience managing geographically distributed teams.
  • CTP and/or CPA is a plus.

Responsibilities

  • Build and lead treasury function; set strategy and controls.
  • Manage day-to-day cash operations and payments.
  • Collaborate with product/engineering to automate treasury systems.
  • Develop cash forecasting models.
  • Manage banking relationships and credit facilities.
  • Oversee foreign currency exposure and hedging.
  • Oversee investment policy and short-term portfolio.
  • Coordinate with accounting and product for cash flow records.
  • Strengthen internal controls and serve as treasury contact for audits.
  • Provide treasury reporting to executives and the Board.

Skills

Treasury leadership
Liquidity management
Cash operations
Multi-currency treasury
Forecasting models
Communication with execs/Board
People management

Education

CTP certification
CPA certification

Job description

Loop is seeking a Head of Payments to build and lead our payments and treasury function as we scale. Reporting to the CFO, you will own liquidity, cash management, banking relationships, capital structure, and financial risk across a global, multi-currency footprint.

This is an in-person role based in the US, with a 4+ days onsite expectation. You will shape strategy, drive automation, oversee forecasting, manage banking facilities, and partner with Finance, Operations, and Product to strengthen

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