Senior Treasury Manager – Global Cash & FX

CoreWeave

Sunnyvale (CA)

On-site

USD 180,000 - 260,000

Full time

11 days ago
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Benefits offered by this job

Medical, dental, and vision insurance
401(k) with employer match
Flexible PTO
Company-paid Life Insurance
Tuition Reimbursement

Job summary

CoreWeave is seeking a Sr. Manager to build and lead Treasury Operations, reporting to the Sr. Director of Treasury. The role will own cash management, liquidity planning, and scalable processes while partnering with Finance, Legal, and Sales to support rapid growth.

The ideal candidate demonstrates ownership, strong Excel modeling, and experience with cross-functional teams in a fast-growing environment. Hybrid office presence preferred in NYC or CA offices.

Qualifications

  • 8+ years of progressive treasury or corporate finance experience.
  • Experience leading international treasury initiatives.
  • Strong communication and stakeholder management.
  • Eligibility to work in the United States; no H1-B sponsorship.

Responsibilities

  • Drive and support strategic Treasury initiatives including international expansion.
  • Set strategy across Treasury initiatives with clear decision points.
  • Develop scalable processes in global cash management, forecasting, risk management, and payment operations.
  • Lead daily cash operations to fund operating accounts and execute payments.
  • Influence bank account structures and signatories for cost efficiency.
  • Support SOX and compliance testing and reporting requirements.
  • Negotiate collateral workflows with partners and manage facilities.
  • Mentor junior team members and develop future leaders.
  • Prepare ad-hoc analyses for senior leadership on banking and cash management.

Skills

Treasury leadership
Cash management
Financial modeling
Excel
Data analysis
GAAP knowledge
Cross-functional collaboration

Tools

Netsuite
SAP
Oracle
Kyriba

Job description

CoreWeave is seeking a Sr. Manager to build and lead Treasury Operations, reporting to the Sr. Director of Treasury. The role will own cash management, liquidity planning, and scalable processes while partnering with Finance, Legal, and Sales to support rapid growth.

The ideal candidate demonstrates ownership, strong Excel modeling, and experience with cross-functional teams in a fast-growing environment. Hybrid office presence preferred in NYC or CA offices.

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