Treasury Operations, Banking Lead
Bay Area, CA, United States of America
Block is one company built from many blocks, all united by the same purpose of economic empowerment. The blocks that form our foundational teams — People, Finance, Counsel, Hardware, Information Security, Platform Infrastructure Engineering, and more — provide support and guidance at the corporate level. They work across business groups and around the globe, spanning time zones and disciplines to develop inclusive People policies, forecast finances, give legal counsel, safeguard systems, nurture new initiatives, and more. Every challenge creates possibilities, and we need different perspectives to see them all. Bring yours to Block.
The Role
The Treasury team at Block manages the company’s liquidity, access to capital, and the protection of both Block’s and our customers’ assets. By leveraging our balance sheet and cash operations, we support the company's growth and financial health. We are seeking an experienced Treasury Operations and Banking Lead to oversee global cash flow, liquidity, and Treasury balance sheet management, ensuring our financial operations align with Block’s strategic long-term goals. As Block expands its Financial Services offerings—including multiple lending products and consumer financial services—prior banking experience will be a valuable asset.
As a key leader of the Treasury team, the Treasury Operations and Banking Lead will collaborate across departments to support business growth and align with the company’s long-term objectives. The ideal candidate will be proficient in all the fundamental areas of treasury management including: cash and liquidity management, balance sheet optimization, banking partnerships, treasury operations and technology, as well as financial planning and reporting.
This role will lead a team of 10-12 professionals across the US, EMEA, and APAC regions and will play a pivotal role in managing our Intercompany Bank. Success in this role will require strong technical acumen, exceptional leadership capabilities, and the ability to effectively collaborate with diverse internal and external stakeholders. This role will report to the Treasurer and is fully remote or able to work from any of our US offices.
You Will Oversee:
- Cash and Liquidity Management: Oversee daily cash flow, ensuring sufficient liquidity for operational and strategic needs. Develop automation and process improvement strategies and leverage technology to support the company’s growth. Lead Treasury Bitcoin operationals.
- Team Management: Support the development of the existing team and hiring open positions including career development and succession planning along with cross-training and redundancy.
- Asset Based Lending: Lead operations for our …
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Fully remote
Benefits/PerksCareer development Cross-training opportunities Equal opportunity employer Fully remote Reasonable accommodations
Tasks- Develop team
- Lead treasury operations
- Manage liquidity
- Prepare financial reports
Automation Cash Management Communication Financial modeling Financial Planning Financial Services Fintech Liquidity management Negotiation Process Improvement Reporting Team Management Treasury management
Experience12-15 years
EducationAccounting Bachelor's degree Business Engineering Master's degree MBA
TimezonesAmerica/Anchorage America/Chicago America/Denver America/Los_Angeles America/New_York Pacific/Honolulu UTC-10 UTC-5 UTC-6 UTC-7 UTC-8 UTC-9