Head of Treasury

Madison-Davis, LLC

United States

On-site

USD 180,000 - 320,000

Full time

20 hours ago
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Job summary

Madison-Davis, LLC seeks a strategic, hands-on Head of Treasury to build and lead its global treasury function within a fast-growing fintech environment. The role focuses on liquidity management, cross-border cash positioning, FX strategy, and international settlement operations.

You will oversee treasury infrastructure, partnerships with banking partners, and scalable treasury systems while collaborating with Finance, Operations, Product, Compliance, and leadership on expansion initiatives.

Qualifications

  • 12+ years of progressive treasury experience with leadership responsibility.
  • At least 5 years supporting money remittance, fintech, cross-border payments, or payment infrastructure businesses.
  • Deep understanding of cross-border liquidity management, foreign exchange markets, and international cash management.
  • Experience managing correspondent banking relationships and multi-bank treasury structures.
  • Strong knowledge of international payment settlement and treasury operations.
  • Proven ability to build or scale treasury functions within a fast-growing organization.
  • Excellent communication skills with the ability to partner across executive leadership and multiple business functions.

Responsibilities

  • Develop and execute the company's global treasury strategy.
  • Manage domestic and international liquidity across multiple currencies and banking partners.
  • Oversee daily cash positioning, forecasting, and working capital optimization.
  • Lead foreign exchange strategy, pricing, hedging, and execution for cross-border payment flows.
  • Manage international payment settlement processes and treasury operations.
  • Build and maintain correspondent banking and strategic financial institution relationships.
  • Develop treasury policies, controls, and governance surrounding liquidity, counterparty, and FX risk.
  • Implement scalable treasury systems, automation initiatives, and operational improvements.
  • Partner closely with Finance, Operations, Product, Compliance, and executive leadership to support new products and international expansion.
  • Present treasury strategy, liquidity performance, and risk metrics to senior leadership.

Skills

Treasury leadership
Liquidity management
FX hedging
Cross-border payments
Bank relationships
Strategic planning
Stakeholder comms
Fintech domain

Job description

A rapidly growing fintech company is seeking a strategic and hands-on Head of Treasury to build and lead its global treasury function. The organization operates within the cross-border payments and money movement space, providing international financial services to a large global customer base while expanding into additional financial products and services.

This is a unique opportunity to join an entrepreneurial, high-growth environment where treasury is a critical strategic function supporting international expansion, payment infrastructure, liquidity management, and foreign exchange operations.

The Opportunity

The Head of Treasury will be responsible for developing and executing the company's global treasury strategy while building scalable processes to support continued growth. This individual will oversee liquidity management, cross-border cash positioning, foreign exchange strategy, correspondent banking relationships, international settlement operations, and treasury infrastructure.

Responsibilities
  • Develop and execute the company's global treasury strategy.
  • Manage domestic and international liquidity across multiple currencies and banking partners.
  • Oversee daily cash positioning, forecasting, and working capital optimization.
  • Lead foreign exchange strategy, pricing, hedging, and execution for cross-border payment flows.
  • Manage international payment settlement processes and treasury operations.
  • Build and maintain correspondent banking and strategic financial institution relationships.
  • Develop treasury policies, controls, and governance surrounding liquidity, counterparty, and FX risk.
  • Implement scalable treasury systems, automation initiatives, and operational improvements.
  • Partner closely with Finance, Operations, Product, Compliance, and executive leadership to support new products and international expansion.
  • Present treasury strategy, liquidity performance, and risk metrics to senior leadership.
Qualifications
  • 12+ years of progressive treasury experience with leadership responsibility.
  • At least 5 years supporting money remittance, fintech, cross-border payments, or payment infrastructure businesses.
  • Deep understanding of cross-border liquidity management, foreign exchange markets, and international cash management.
  • Experience managing correspondent banking relationships and multi-bank treasury structures.
  • Strong knowledge of international payment settlement and treasury operations.
  • Proven ability to build or scale treasury functions within a fast-growing organization.
  • Excellent communication skills with the ability to partner across executive leadership and multiple business functions.
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