Treasury Risk & Cash Management Lead

PayPal

Austin (TX)

Hybrid

USD 118,000 - 174,000

Full time

7 days ago
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Benefits offered by this job

Hybrid work model
Bonus potential

Job summary

PayPal is seeking a Treasury leader in Austin, TX to own core treasury processes including corporate cash management and FX risk management. You will drive best practices, lead a team, and partner with Risk and Compliance while aligning with company-wide policy standards.

The role operates within a balanced hybrid model in Austin. You will champion automation efforts, integrate acquisitions, and ensure treasury policies are applied consistently across the organization, enabling liquidity

Qualifications

  • 5+ years of treasury or related finance experience.
  • Bachelor’s degree required.
  • Strong collaboration with risk and compliance teams.

Responsibilities

  • Take ownership of key Treasury processes such as corporate cash management or FX risk management.
  • Partner with internal constituents to solve treasury issues.
  • Leading junior treasury team members for professional growth.
  • Institute and socialize BCP/BIA processes and planning.
  • Maintain and manage Treasury Workstation usage, optimization, testing, and upgrades.
  • Integrate acquisitions and standardize policies across the organization.
  • Provide oversight of intercompany loans and other Treasury Policies.
  • Identify automation initiatives for daily operations efficiency.
  • Collaborate with Risk and Compliance teams for regulatory and licensing compliance.

Skills

Treasury management
People leadership
Cross-functional collaboration

Education

Bachelor's degree

Job description

PayPal is seeking a Treasury leader in Austin, TX to own core treasury processes including corporate cash management and FX risk management. You will drive best practices, lead a team, and partner with Risk and Compliance while aligning with company-wide policy standards.

The role operates within a balanced hybrid model in Austin. You will champion automation efforts, integrate acquisitions, and ensure treasury policies are applied consistently across the organization, enabling liquidity

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