Treasury Manager

Fanatics Betting & GamingNew York, NY
$120,000 - $150,000

About The Position

We’re hiring a Treasury Manager – Fanatics Markets to help stand up and run the cash, margin, and treasury functions behind Fanatics Markets regulated under CFTC and National Futures Association oversight. You’ll own day-to-day controls that safeguard customer funds — segregation calculations, account reconciliations, and payments — and you’ll be responsible for getting them right, on time, and in audit-ready shape as the business grows.

Requirements

  • A Bachelor’s degree in Finance, Accounting, Economics, or a related field.
  • At least 5 years in treasury, regulatory finance, or cash management — ideally at a regulated firm like an FCM, broker-dealer, clearing firm, or bank.
  • Hands-on experience with customer funds segregation calculations and SIDR reporting.
  • A working knowledge of CFTC regulations and National Futures Association requirements.
  • A solid track record with reconciliations, cash positioning, and payment processing under tight deadlines.
  • The instinct to dig into discrepancies and resolve them quickly when the clock is running.
  • Comfort operating inside rigorous internal control frameworks and under regulatory scrutiny.
  • Sharp attention to detail, strong analytical chops, and a bias toward finding solutions.

Nice To Haves

  • Experience with Oracle Fusion, FIS Integrity, Claude AI, WinJammer
  • Exposure to prediction markets, event-contract products, or other CFTC-regulated derivatives.

Responsibilities

  • Run daily treasury operations for our prediction markets platform, keeping everything aligned with CFTC and National Futures Association rules.
  • Prepare and review customer funds segregation and secured amount calculations and produce the daily Segregated Investment Detail Report (SIDR) along with related regulatory filings.
  • Reconcile bank, custodial, and clearing accounts; confirm collateral, restricted cash, and margin balances; and chase down and resolve any discrepancies before deadlines are hit.
  • Own daily cash positioning and outbound payments, including wires, customer withdrawals, and margin funding to exchanges and clearinghouses.
  • Keep treasury controls and documentation tight — segregation of duties, evidence retention, and clean, examiner-ready workpapers.
  • Work alongside Compliance, Accounting, Risk, and Operations on regulatory reporting, exams, and improvements to treasury processes and controls.
  • Support automation efforts by checking outputs, watching for exceptions, and shoring up the integrity of our operational controls.

Benefits

  • In addition to the base and bonus, full-time employment, and more.
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