Treasurer

Better Logo

Better

πŸ“Remote - Worldwide

Summary

Join Better, a company reimagining home finance, as their Treasurer. You will manage Better's cash management, optimizing liquidity and ensuring the safety and soundness of treasury operations. This role also involves regulatory compliance and collaboration with teams across the US, UK, and India. The Treasurer will develop and execute liquidity strategies, manage relationships with commercial banks, and maintain compliance with regulatory covenants. You will build and implement systems for efficiency and reporting, and interpret financial data to inform strategic decisions. This position reports to the CFO and requires a highly collaborative individual.

Requirements

  • 10+ years experience in a mortgage industry treasury leadership role
  • Bachelor's degree in Business Administration, Finance, Accounting, Economics or similar; CTP / MBA Desired
  • Extensive knowledge of financial products: Foreign Exchange, Interest Rate Swaps, Equity Options, Listed Futures, Mortgage Backed Securities, Money Market (CPs, CDs, Time Deposits) and FX Contracts
  • Strong skills with Kyriba, Coupa, Netsuite and automating batch payments are required
  • Collaborative and communication skills
  • Able to multitask different responsibilities and function in a team environment
  • Possess strong analytical and problem-solving skills
  • Proven experience in project management skills including system migration and new product implementation
  • Proven experience developing and coaching others indirectly or directly

Responsibilities

  • Lead and mentor treasury teams across the US, UK, and India
  • Develop and execute liquidity strategies aligned with organizational goals
  • Serve as the primary contact with commercial banks for cash management services, trust, custody, and daily treasury needs
  • Ensure adequate liquidity for working capital needs; invest excess cash and manage intercompany cash (including lending, dividends, and capital injections)
  • Maintain compliance with regulatory covenants; manage warehouse banks and negotiate terms
  • Build and implement systems and processes to optimize treasury efficiency, reporting, and controls
  • Reconcile all external and intercompany receivables
  • Manage firmwide distribution and collection of all mortgage transaction fundings
  • Develop and maintain robust reporting and modeling capabilities for liquidity forecasting in collaboration with corporate FP&A
  • Interpret financial data in context of current trends, policies, and developments
  • Stay informed on regulatory, legal, and technological changes impacting treasury operations
  • Review and analyze banking and investment fees to identify cost savings
  • Lead and enhance internal processes to ensure compliance with policies, controls, and procedures

Benefits

  • Benefits eligibility effective DAY ONE
  • *$0 medical plan premium offering coverage nationwide paired with our Health Savings Account that includes an employer contribution (*Additional Medical, dental, vision plan options also all with nationwide coverage)
  • Flexible PTO
  • Immediate virtual mental health support by licensed therapists for our employees and their eligible dependents age 6 and up! First few visits at no cost to you!
  • Personalized care for every fertility and family care journey for our employees and their partner!
  • Dependent care benefits (i.e. childcare and/or elder care costs) include a company match
  • Discount programs and perks including pet Insurance!

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