Treasury Operations Manager

CoupandMountain View, CA
14h$114,000 - $212,000

About The Position

We exist to wow our customers. We know we’re doing the right thing when we hear our customers say, "How did I ever live without Coupang?" Born out of an obsession to make shopping, eating, and living easier than ever, we’re collectively disrupting the multi-billion-dollar commerce industry from the ground up. We are an American technology company and one of the fastest-growing retail companies that has established an unparalleled reputation for being a leading and reliable force in global commerce. We are proud to have the best of both worlds — a startup culture with the resources of a large global public company. This fuels us to continue our growth and launch new services at the speed we have been since our inception. We are all entrepreneurial, surrounded by opportunities to drive new initiatives and innovations. At our core, we are bold and ambitious people that like to get our hands dirty and make a hands-on impact. At Coupang, you will see yourself, your colleagues, your team, and the company grow every day. Our mission to build the future of commerce is real. We push the boundaries of what’s possible to solve problems and break traditional tradeoffs. Join Coupang now to create an epic experience in this always-on, high-tech, and hyper-connected world. Role Overview Coupang is seeking a highly capable and self-directed Treasury Manager to lead the U.S. Treasury function for our global technology and ecommerce organization. This role requires a strong operator with a strategic mindset - someone who can manage day-to-day treasury activities while shaping and executing initiatives that enhance liquidity, operational efficiency, and financial risk management. The role spans the full treasury cycle, including payments, cash management, banking, FX, forecasting, controls, and process optimization. The ideal candidate brings hands-on treasury operations expertise from a global or multinational environment and thrives in a fast-moving, high-growth setting.

Requirements

  • Bachelor’s degree in Finance, Accounting, Economics, or related field; MBA preferred.
  • 7+ years of relevant treasury or corporate finance experience, including 5+ years in a dedicated treasury operations role.
  • Experience in multinational organizations; technology, ecommerce, or retail background preferred.
  • Strong knowledge of U.S. banking systems, FX markets, and regulatory requirements.
  • Proficiency with SAP, online banking platforms, Treasury Management Systems and Microsoft Office.
  • Excellent English communication skills.
  • Proven ability to operate independently, manage competing priorities, and deliver results in a fast-paced environment.

Nice To Haves

  • Strategic thinker with hands-on operational capabilities.
  • High attention to detail and strong commitment to accuracy and controls.
  • Strong interpersonal skills with an ability to influence across teams and geographies.
  • Experience with digital payment platforms, APIs, and treasury automation tools.
  • Experience supporting treasury functions in start-up or high-growth environments.

Responsibilities

  • Strategic Treasury Management Lead end-to-end U.S. treasury operations, including cash management, payments, forecasting, and funding.
  • Build and manage banking relationships; oversee account openings,documentation, KYC, and negotiations.
  • Monitor U.S. regulatory, economic, and industry developments and assess their impact on treasury operations.
  • Ensure alignment with global treasury strategy, policies, and risk frameworks.
  • Operational Excellence Oversee daily liquidity management, cash positioning, payment execution and collections monitoring.
  • Manage FX settlements and support execution of FX transactions.
  • Lead month-end treasury processes, including accounting, reconciliations, and reporting in partnership with Finance.
  • Maintain compliance with internal controls, SOX, KYC requirements, and authorization procedures.
  • Process Improvement & Cross-Functional Collaboration Identify opportunities to improve treasury processes, controls, automation and reporting.
  • Partner closely with Finance, Accounting, Tax, Legal, Payroll, AP, and other teams to support business initiatives and resolve global treasury issues.
  • Contribute U.S. market insights to global treasury projects.
  • Reporting & Analysis Produce liquidity reports, cash flow forecasts, dashboards, and updates for senior management.
  • Provide ad-hoc analyses to support strategic decision-making and global treasury objectives.

Benefits

  • Medical/Dental/Vision/Life, AD&D insurance
  • Flexible Spending Accounts (FSA) & Health Savings Account (HSA)
  • Long-term/Short-term Disability
  • Employee Assistance Program (EAP) program
  • 401K Plan with Company Match
  • 18-21 days of the Paid Time Off (PTO) a year based on the tenure
  • 12 Public Holidays
  • Paid Parental leave
  • Pre-tax commuter benefits
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