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Salary: USD 144,000 - 180,000 / annual
Ripple is seeking a Treasury Manager to join its growing Global Treasury Operations team in Chicago. This role is central to managing Ripple's cash operations, digital asset treasury, and financial infrastructure as the company scales internationally.
You will own daily cash and product operations across multiple entities and geographies. Key responsibilities include preparing and processing cash flow transactions (payroll, tax, bank fees, treasury payments), managing entity funding approvals, capital calls, loans, and intercompany settlements. You'll oversee continuous cash operations including daily cash handling, bank reconciliation, and account configurations.
The role requires managing compliance and audit support, including FBAR coordination and restricted account monitoring. You'll analyze cash positions, manage digital asset fundings, and ensure liquidity for wallet and funding obligations. Specific duties include stablecoin (RLUSD) treasury operations, OTC trading support, and managing accounts payable and corporate payments using crypto assets.
You will own global account and exchange management—opening/closing accounts, KYC processes, signatory updates, FBAR reporting, and user access management. Bank relationship management is critical: you'll conduct quarterly business reviews, manage letters of credit, and coordinate with corporate banking partners on fee and yield optimization.
Additionally, you'll manage user access for bank portals and treasury management systems (GTreasury, Trovata), troubleshoot technical issues, coordinate daily bank feed reviews, and support implementation of AI and automation initiatives.
Required: 7+ years of corporate treasury operations experience, preferably in high-growth startups or multinational environments. Deep expertise in domestic, cross-border, FX, and digital asset payments. Advanced Excel and Google Sheets proficiency. Experience with SAAS treasury management systems (GTreasury, Kyriba) is a plus. Bachelor's degree in Finance, Accounting, Economics, or related field; MBA, CFA, or CTP preferred. You must be analytical, proactive, organized, with strong presentation and communication skills. Ability to influence cross-functional partners (Tax, Legal, Financial Services, Trading, Accounting) and thrive in fast-paced, changing environments.