About The Position

NVIDIA has been transforming computer graphics, PC gaming, and accelerated computing for more than 25 years. It’s a unique legacy of innovation that’s fueled by great technology - and amazing people. Today, we’re tapping into the unlimited potential of AI to define the next era of computing. An era in which our GPU acts as the brains of computers, robots, and self-driving cars that can understand the world. Doing what’s never been done before takes vision, innovation, and the world’s best talent. As an NVIDIAN, you’ll be immersed in a diverse, supportive environment where everyone is inspired to do their best work. Come join the team and see how you can make a lasting impact on the world. We are looking for Senior Treasury Analyst who will be responsible for treasury cash positioning operations.

Requirements

  • Bachelor’s degree in finance, Accounting, Business, or related field, or equivalent experience
  • 5+ years of experience in treasury operations, cash management, or a closely related finance operations role
  • Hands-on experience with wire initiation and cash positioning, including dual-control processes and authorization frameworks
  • Familiarity with major bank portals for transaction initiation, account management, and callback processing
  • Exceptional attention to detail - demonstrated ability to manage high wire volumes without errors in a time-sensitive environment
  • Working knowledge of SOX-relevant controls in treasury operations

Nice To Haves

  • Experience with enterprise treasury systems for cash positioning and reporting
  • Familiarity with intercompany cash flows, including IC settlement and funding structures
  • Prior experience managing counterparty callbacks under tight deadlines
  • Exposure to multi-currency cash management across global account structures

Responsibilities

  • Monitoring and managing daily cash balances across NVIDIA's global accounts, surfacing any positioning gaps before they become funding issues
  • Preparing, verifying, and initiating all outbound wires under dual-control and authorization requirements with precision
  • Managing operational communications with banking counterparties and internal partners on wire status, callbacks, and settlement exceptions
  • Providing timely daily cash position updates to the Capital Markets team and contributing to broader treasury reporting
  • Supporting SOX control documentation and maintaining complete audit records for all wire and cash transactions
  • Finding opportunities to standardize or automate steps in the wire and positioning workflow as the team builds its infrastructure

Benefits

  • highly competitive salaries
  • comprehensive benefits package
  • equity
  • benefits
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