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ecoATM Gazelle

Senior Treasury Manager

Posted 6 Days Ago
Be an Early Applicant
Remote
Hiring Remotely in USA
135K-145K
Senior level
Remote
Hiring Remotely in USA
135K-145K
Senior level
The Senior Treasury Manager manages cash and treasury operations, forecasting, bank relationships, compliance, risk management, and supports capital markets activity, reporting to the CFO.
The summary above was generated by AI

Company Overview (Who are we? Why should you join us?)

At ecoATM the proof of our success is in our staggering growth, extraordinary impact on protecting the planet, and providing a work culture unlike any other. We are a technology company and a pioneer of device re-commerce. Through our 6500+ automated kiosks and online marketplace Gazelle.com, we enable people all over the world to join the mobile device re-use revolution, a revolution that will get billions of used smartphones out of the e-waste cycle and into the hands of people who don’t have affordable access to the empowerment of the latest mobile technology.

At ecoATM we know our employees are our greatest strength and the key to our continued growth and success. When you join our team, you will enjoy more than just a job, you will be empowered to develop and utilize your unique talents and skills to build a rewarding career while making a lasting, positive impact on the planet.

Our Values and Leadership Behaviors


About the role 

The Senior Treasury Manager oversees all aspects of the company’s cash management and treasury operations, ensuring liquidity needs are met in the most efficient and effective manner. This role manages cash flow—including forecasting and kiosk reconciliation—maintains strong relationships with banking partners, and ensures compliance with credit agreements, treasury policies, and relevant regulations. 
 
Reporting directly to the CFO, the Senior Treasury Manager serves as a subject matter expert and strategic partner, advising cross-functional teams, supporting capital markets activity, and strengthening treasury governance and risk management practices. 

Key Responsibilities 

Liquidity & Borrowing 

  • Manage daily cash positions, liquidity, and credit facility borrowing to support company disbursements. 
  • Monitor operational cash flow volatility, deposits, and debt service costs. 
  • Develop and present short- and long-term cash forecasts to senior leadership. 

Payments, Controls & Governance 

  • Oversee execution and security controls for ACH, wire, and FX transactions. 
  • Maintain and enhance treasury policies, internal controls, and compliance with regulations and credit agreements. 
  • Ensure proper governance over cash, FX, debt, and related financial reporting. 

Risk Management 

  • Monitor financial risks, including interest rate, FX, and counterparty exposures. 
  • Recommend and execute hedging or risk mitigation strategies when appropriate. 

Capital Markets & Financing 

  • Provide analytical and execution support for financing transactions, refinancing, and capital structure initiatives. 
  • Support CFO with treasury input for lender communications, board materials, and investor presentations. 

Banking & Treasury Infrastructure 

  • Manage banking relationships, optimize banking architecture, and negotiate services and fees. 
  • Implement and maintain treasury management systems, ERP integrations, and online banking access/controls. 
  • Invest idle cash per investment policy to maximize returns while safeguarding liquidity. 

Cross-Functional Support 

  • Partner with Accounting, FP&A, and Tax on covenant compliance, debt reporting, and reconciliations (e.g., Excess Cash Flow). 
  • Provide treasury services to business units and employees, including cash vault and credit card programs. 

Technology & Process Automation 

  • Lead system implementations and enhancements to improve efficiency and data integrity. 
  • Drive automation of treasury workflows and reporting in partnership with IT. 

Leadership & Special Projects 

  • Provide direction to treasury staff or outsourced partners, fostering a culture of continuous improvement. 
  • Lead vendor relationships, including credit card processing partners. 
  • Contribute to special projects and ad hoc analyses as assigned. 

Education & Experience 

  • Bachelor’s degree in Finance, Accounting, or related field required. 
  • 8+ years of experience in corporate treasury, cash management, or banking. 
  • CTP certification (or equivalent) strongly preferred. 
  • Demonstrated knowledge of treasury policies, credit agreements, and cash forecasting. 
  • Experience with treasury workstations, ERP integrations, and straight-through processing. 
  • Prior exposure to capital markets transactions or debt financing a plus. 

Knowledge, Skills & Abilities 

  • Excellent organizational and time-management skills. 
  • Strong communication and interpersonal abilities; able to influence across functions and with external partners. 
  • Proven ability to identify, assess, and mitigate financial risks. 
  • Skilled at building consensus and managing multiple stakeholder priorities. 
  • Advanced proficiency in Microsoft Excel and PowerPoint; strong data and presentation skills. 
  • Continuous improvement mindset with focus on automation, efficiency, and control. 

Location 

  • Remote 
Pay Range (How much might you earn in your base salary?)
$135,000 - $145,000
This position is also be eligible for short-term and long-term incentives based on individual and company performance.

Base pay offered may vary depending on job-related knowledge, skills, and experience. This information is provided per CA SB 1162 (“CA Pay Transparency Law”). Base pay information is based on market location. Learn more about ecoATM benefits here.

This position may also be eligible for short-term and long-term incentives based on individual and company performance.

This job description is not intended to be all-inclusive. Employee may perform other related duties as assigned to meet the ongoing needs of the organization.

Here at ecoATM/Gazelle we value diversity & belonging and are proud to be an Equal Employment Opportunity employer.  All applicants are considered without regard to race, color, religion, national origin, age, sex, marital status, ancestry, physical or mental disability, veteran status, gender identity, sexual orientation, or any other legally protected characteristic, and are fairly and equitably compensated based on current market data. If you need assistance, or an accommodation, please let your recruiter know.

Top Skills

Erp Integrations
Excel
Microsoft Powerpoint
Treasury Management Systems

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