Associate Director, Treasury & Cash Management

Webull FinancialSaint Petersburg, FL
$115,000 - $140,000Onsite

About The Position

We are looking for a meticulous, proactive, and forward-thinking Treasury professional to join our finance team. This role is a critical hub for our financial operations, responsible for balancing the firm’s daily cash position, optimizing liquidity, and ensuring strict compliance with industry regulatory requirements. The ideal candidate possesses a strong understanding of financial markets, thrives in a fast-paced environment, and is looking for a high-visibility role where they can take true ownership of cash management processes and drive automation.

Requirements

  • Bachelor’s degree or higher in Finance, Accounting, Economics, or a related business field.
  • 6+ years of corporate finance experience, with at least 3-4 years explicitly focused on cash positioning, liquidity management, and banking integrations.
  • Direct experience within a retail brokerage, fintech, or fast-paced financial services environment is highly advantageous.
  • Proven experience utilizing Treasury Management Systems (TMS), advanced Excel functions, or ERP treasury modules.
  • Exceptional analytical problem-solving skills, crisp verbal/written communication, and a track record of driving initiatives independently.

Nice To Haves

  • CPA license, CTP (Certified Treasury Professional), or a background in public accounting/audit.

Responsibilities

  • Monitor and manage daily cash positions to ensure optimal, friction-free liquidity across all corporate and settlement accounts.
  • Review, approve, and execute high-value wires, ACH, and debit card fund transfers to meet daily operational, settlement, and regulatory needs.
  • Oversee the reconciliation of prior-day cash activities to the general ledger; proactively investigate and resolve any discrepancies or complex banking inquiries.
  • Conduct detailed variance analysis on cash flow forecasts, transforming raw data into actionable insights for senior management.
  • Champion an automation-driven mindset by auditing current cash management workflows and designing scalable process or system enhancements.
  • Serve as the primary operational point of contact for internal/external auditors, tax accountants, and regulatory examination teams.
  • Assist in training, mentoring, and supporting junior treasury staff members to build a resilient, high-performing team.

Benefits

  • Comprehensive Health Coverage: 100% paid medical and dental insurance for employees and dependents, vision insurance, and more!
  • Financial Support: 401(k) match, commuter benefits for NY positions, and short-term disability coverage.
  • Work-Life Balance: Generous time off that increases with tenure, paid parental leave, personal days, sick time, volunteer days and company holidays.
  • Wellness & Pet Care: Fitness and wellness benefits, plus pet insurance for your furry friends.
  • Investing in Your Future: We provide tuition reimbursement to help you pursue relevant degrees, certifications, and training that align with your career goals.
  • Dynamic Office Perks: Catered breakfast (every Monday) & lunches (every Friday), fully stocked kitchens, and monthly happy hours to connect and collaborate.
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