About The Position

Hopper's marketplace moves fast, processing billions in travel transactions across currencies, geographies, and payment platforms. As a Senior Treasury Specialist, you'll own the operational and analytical infrastructure that keeps it running smoothly, from daily cash positioning and liquidity forecasting through to banking relationships, FX risk management, and payments infrastructure. This is a highly cross-functional role that sits at the intersection of finance, product, and operations, built for someone who wants to own the function, not just support it.

Requirements

  • 4–7+ years of hands-on treasury, corporate finance, or payments experience in a global, high-growth environment
  • Demonstrated ownership of global cash positioning and liquidity forecasting across multiple entities and currencies
  • Experience leading or materially contributing to a TMS implementation or automated forecasting process
  • Strong working knowledge of cross-border payments infrastructure (SWIFT, ACH, SEPA) and FX risk management
  • Advanced Excel and financial modelling skills; familiarity with TMS or ERP platforms (Kyriba, GTreasury, SAP, or similar)
  • Experience managing banking relationships independently, including KYC coordination and compliance documentation
  • Comfort working cross-functionally with product, engineering, and finance teams in an ambiguous, fast-moving environment
  • Bachelor's degree in Finance, Accounting, Economics, or a related field

Nice To Haves

  • MBA, CFA, or CTP designation is an asset
  • Curiosity about how AI and automation tools can improve treasury operations — hands-on experience with SQL or LLMs is a strong plus

Responsibilities

  • Oversee daily global cash positions across multiple entities, currencies, and banking partners, ensuring sufficient liquidity for a high-volume travel marketplace
  • Build and refine short- and long-term cash flow forecasts, delivering regular updates to executive leadership to support strategic decision-making
  • Lead the selection and implementation of a Treasury Management System, driving automation and scalability across treasury workflows
  • Monitor FX exposures driven by cross-border travel bookings and support the design and execution of hedging strategies to mitigate currency and interest rate risk
  • Partner with product and engineering teams on payment flows, new product launches, and geographic expansion
  • Collaborate with FP&A and Accounting to optimise working capital and align forecasting across the business
  • Serve as the primary point of contact for global banking partners, managing relationships, service levels, and compliance requirements including KYC, account setups, and Letters of Credit
  • Maintain strong internal controls around treasury activities and support financing initiatives including debt compliance and investor reporting

Benefits

  • Well-funded and proven startup with large ambitions, competitive salary and the upsides of pre-IPO equity packages.
  • Unlimited PTO.
  • Carrot Cash travel stipend.
  • Access to co-working space on demand through FlexDesk AND Work-from-home stipend.
  • Very generous parental leave, much above industry standards!
  • Entrepreneurial culture where pushing limits and taking risks is everyday business.
  • Open communication with management and company leadership.
  • Small, dynamic teams = massive impact.
  • 100% employer paid Medical, Dental and Vision coverage for employees.
  • Access to Disability & Life insurance.
  • Health Reimbursement Account (HRA).
  • DCA/ FSA and access to 401k plan.
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