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Salary: USD 144,000 - 180,000 / annual
Ripple is a leader in enterprise blockchain and crypto solutions, processing 27M lifetime transactions worth nearly $50B. The company has 900+ global employees across 15 offices and is building crypto solutions for financial institutions, businesses, governments, and developers.
Reporting to the Senior Manager of Global Liquidity Management, you will be responsible for all aspects of global treasury liquidity management, collaborating daily with cross-functional and cross-regional teams.
Key responsibilities include:
• Run daily liquidity positioning to position cash and crypto assets to meet global obligations and fund products on time
• Build and maintain daily, weekly, and monthly forecasting processes for every subsidiary and business owner to ensure funding is in place when needed
• Lead global cash and stablecoin pooling to minimize idle balances, improve yield, and design efficient funding structures
• Partner with Finance to define, report on, and drive improvement in working capital metrics
• Deliver periodic cash reports and forecasts that give management clear visibility into balances and sources/uses of cash
• Work with treasury leadership to shape and execute global treasury management system strategy across business lines and develop supporting tools
• Monitor and mitigate foreign-currency exposure from assets and liabilities
• Build strong working relationships with Accounting, Finance Ops, Tax, Compliance, Crypto Ops, and other teams to guide decisions on cash usage
• Own relationships with regional and global banking partners to implement liquidity and investment strategies
• Mentor new hires and junior team members
The role offers hybrid flexibility with 10+ days per month in-office collaboration. The company emphasizes a fast-paced startup environment with experienced industry leaders, professional development support, and a collaborative culture.
REQUIREMENTS:
• 6+ years of Treasury experience at a multinational corporation or financial institution
• Track record leading daily cash management and cash forecasting
• Hands-on experience with bank data integration and SWIFT connectivity
• Experience designing and implementing netting, a global in-house bank, or follow-the-sun liquidity structures
• Success building reporting, accountability, and performance mechanisms that help teams operate at a high level
• Strong analytical, organizational, and communication skills with ability to run multiple projects simultaneously
• Comfort with ambiguity and shifting priorities; ability to influence teams with competing priorities
• Advanced Excel and Google Sheets skills; experience with other analytical tools is a plus
• Collaborative approach that promotes excellence, innovation, and continuous improvement through technology
• Bachelor's degree in Finance or a related business field