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Treasury Manager

Gusto · Denver, CO - Hybrid; New York, NY - Hybrid; San Francisco, CA - Hybrid

Employment

Full-time

Workplace

Hybrid

About the role

As a Senior Treasury professional at Gusto, you will help lead the treasury team in managing financial resources, cash and liquidity, and day-to-day functions to meet company financial obligations. You will collaborate with internal teams such as Payments, Risk, Product, and Accounting, as well as external banking partners, solution providers, and portfolio managers. This role is available on a hybrid basis in Denver, New York, or San Francisco.

Key requirements

  • 12+ years of relevant experience working in a shared service Treasury environment with cross-functional teams, preferably in banking or financial services
  • Experience with Payment Operations, Risk/Credit, and banking partner activities
  • In-depth knowledge of money movement and payment types including ACH, wires, real-time payments, and stable coins, along with related settlement knowledge and risk management
  • Experience with credit facilities, lending solutions, and liquidity modeling and solutioning
  • In-depth experience using AI to solve corporate treasury needs, improve workflows, and create business efficiencies
  • Ability to work from the Denver, San Francisco, or New York office on designated hybrid days approximately 2 to 3 days per week

Who should apply

Proactive, intellectually curious self-starters with extensive treasury experience in financial services or banking who excel at operational excellence, analytical problem-solving, and cross-functional leadership.

Key skills

Treasury ManagementLiquidity ModelingPayment OperationsRisk ManagementCash ForecastingCredit FacilitiesAI IntegrationCross-functional Leadership

Application guidance

Candidates apply on the employer's official site.