About The Position

Rippling is looking to hire a Global Banking & Treasury manager to help build and optimize Rippling's global financial infrastructure. This role will work with external banking partners & internal finance, product and legal teams to scope global banking projects and drive them to completion. Additionally, this role will be responsible for designing and managing critical day-to-day treasury operations. As Global Banking & Treasury manager, you will play a founding role in Rippling's fast growing Treasury, FX & Banking team. The ideal candidate will have strong financial experience. The candidate will also need the ability to manage complex projects and deliver on aggressive deadlines.

Requirements

  • Minimum 8 years of treasury experience
  • Organized, attentive to details, and intellectually rigorous
  • Bachelor's degree in finance, economics, business or related field
  • Familiarity with global payments and a deep understanding of banking
  • Excellent communication and interpersonal skills
  • Self-starter with excellent time management skills and ability to work independently
  • Passion for fast-paced entrepreneurial work environments

Nice To Haves

  • CFA or MBA is a plus

Responsibilities

  • Develop and operationalize scalable cash models to support Rippling's suite of financial products, ensuring accurate forecasting and real-time visibility across global cash positions
  • Lead complex, high-impact banking initiatives — including onboarding, account structuring, and funding flows — to support product launches, jurisdictional expansion, and platform growth.
  • Drive FX strategy and execution, including pricing, trading, and risk management for multi-currency operations across new and existing markets.
  • Own the global treasury roadmap, executing on key initiatives that strengthen liquidity, expand banking infrastructure, and support future business scale.
  • Build global treasury reporting and KPIs, establishing clear metrics and dashboards to track liquidity, capital efficiency, and treasury performance.
  • Design and maintain a strong internal control environment, ensuring accurate fund flows, secure access, and adherence to operational and regulatory standards.
  • Establish and formalize treasury policies, procedures, and escalation paths to ensure maturity, consistency, and audit readiness across all treasury operations.
  • Ensure full compliance with relevant regulatory frameworks, internal governance processes, and industry best practices across all jurisdictions where we operate.
  • Deliver concise and strategic management reporting, translating complex financial data into insights and recommendations for senior leadership.
  • Collaborate cross-functionally with finance, legal, product, and engineering teams to drive alignment and deliver best-in-class treasury support for the business.
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