Senior Product Manager - Treasury and Cash Management

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Mercury

๐Ÿ’ต $136k-$250k
๐Ÿ“Remote - United States, Canada

Summary

Join Mercury's Treasury team as a Product Manager and build industry-leading cash management tools. You will work cross-functionally to develop and evolve products, own the customer experience, define product vision and roadmap, track market and regulatory developments, and champion strong operational foundations. This role requires deep experience in cash management and investments, a strong understanding of regulatory frameworks, and experience building financial products. Mercury offers a competitive total rewards package including base salary, equity, and benefits. The ideal candidate will possess excellent analytical and problem-solving skills and a passion for building intuitive cash management tools.

Requirements

  • 7+ years of product management experience in fintech, financial services, or investment focused roles
  • Deep understanding of how businesses manage cash, especially fixed-income investments, liquidity planning and treasury operations
  • A strong grasp of regulatory frameworks that govern investment products, brokerage services, and advisory services
  • Experience building and launching financial products, with thoughtful consideration for delivering lovable user experiences
  • A track record of building infrastructure that supports automation, compliance, and reliable operations at scale
  • Excellent analytical and problem-solving skills, especially in high-growth, regulated environments
  • Strong communication and stakeholder management skills. You know how to align teams and get things done

Responsibilities

  • Develop and evolve Mercuryโ€™s treasury and cash management products to help customers grow their balances with minimal effort, combining magic and compliance
  • Own the end-to-end customer experience, driving activation and long-term retention
  • Define the product vision and roadmap for Mercuryโ€™s treasury and cash management products, balancing yield, liquidity and risk, in partnership with engineering, design, compliance and operations
  • Track market and regulatory developments, and evaluate competitive offerings to continuously sharpen our treasury and cash management strategy
  • Champion strong operational foundations, driving efficiency, compliance, and resilience as we scale
  • Tackle complex challenges across money movement, investment workflows, and treasury accounting, improving reliability, efficiency, and customer outcomes

Preferred Qualifications

A passion for building intuitive, highly-lovable cash management tools that simplify complexity and unlock value for customers

Benefits

  • Base salary
  • Equity (stock options)
  • Benefits

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