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Treasury Manager Global Treasury Operations

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Ripple

Ripple provides payments, custody and stablecoin solutions that help financial institutions integrate blockchain and digital assets.

Series C18 current maintainers15 active leads6 new active leads5 lead step-downs2 early lead departuresTeam intelligence

Maintainer signals as of 8/12/2026

San Francisco, California, United States
About Ripple

Ripple helps financial institutions transform global payments by providing blockchain-powered infrastructure for cross-border payments, digital asset custody, and stablecoin solutions. With it, users can enable instant settlements, reduce costs, and access new markets. The company was originally founded as OpenCoin in 2012 and rebranded to Ripple in 2015.

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Skills

Candidate Availability

Required and preferred rules are kept separate and reflect the wording in the original posting.

About the Role

You prepare, assess, and process cash flow transactions, manage entity funding and intercompany settlements, oversee cash operations and reconciliations, support audits and compliance, analyze cash positions, provide digital asset funding, and ensure liquidity. You operate stablecoin treasury processes, support OTC trading, manage crypto-asset payments, administer bank and exchange accounts, oversee access controls, coordinate bank data, and support treasury technology and automation initiatives.

Requirements

  • 7+ years of corporate treasury operations experience
  • Experience in a high-growth startup or multinational environment
  • Expertise in domestic payments
  • Expertise in cross-border payments
  • Expertise in foreign exchange payments
  • Expertise in digital asset payments
  • Advanced Excel skills
  • Advanced Google Sheets skills
  • Experience with treasury management systems
  • Bachelor’s degree or equivalent experience in Finance, Accounting, Economics, or a related field
  • Analytical approach
  • Problem-solving skills
  • Presentation skills
  • Communication skills
  • Interpersonal skills
  • Cross-functional influence
  • Self-direction
  • Proactivity

Responsibilities

  • Prepare, assess, and process cash flow transactions
  • Manage entity funding, capital calls, loans, grants, and intercompany settlements
  • Oversee daily cash handling and bank account reconciliation
  • Support internal and external audits
  • Coordinate FBAR compliance
  • Monitor restricted accounts and letters of credit
  • Prepare and analyze cash positions
  • Provide digital asset funding
  • Ensure liquidity for wallet and funding obligations
  • Complete stablecoin treasury operations
  • Support OTC trading
  • Manage accounts payable and corporate payments using crypto assets
  • Manage global bank and exchange accounts
  • Maintain KYC records and signatory updates
  • Manage user access for bank portals and treasury management systems
  • Review bank fees and yields
  • Manage bank relationships and letter of credit processing
  • Troubleshoot treasury system issues through JIRA
  • Coordinate bank feeds and API or PIX credentials
  • Maintain the centralized bank data file
  • Support GTreasury implementation and automation initiatives

Benefits

  • Professional development budget
  • Flexible in-office scheduling
  • Bonuses
  • Equity
  • Physical healthcare coverage
  • Mental healthcare coverage
  • Retirement benefits
  • Family-forming benefits
  • Family support benefits
  • Employee giving match
  • Mobile phone stipend
  • R&R days
  • Wellness reimbursement
  • Generous vacation policy
  • Parental leave
  • Family planning benefits
  • Catered lunches
  • Premium snacks and beverages
  • Team offsites
  • Team bonding activities
  • Happy hours