There are still lots of open positions. Let's find the one that's right for you.
The Treasury team manages Block's liquidity and access to capital. We ensure that Block has enough cash available to meet the needs of our customers, departments, and foundational teams. We value using data and financial modeling tools to assess our financial position and provide real-time answers to questions about capital, liquidity, and corporate risks. We are looking for two Treasury Analysts to help grow our global treasury operations team, one role will be based in EST time zone. This role presents the opportunity to work across a variety of core Block business functions, focusing on both domestic and international cash management. You will be a key contributor to maintaining Block's global liquidity and bank account structure.