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At Hopper, we’re on a mission to make travel easier, more transparent, and more affordable for millions of customers worldwide. As a Senior Treasury Specialist, you’ll play a key role in ensuring our rapidly scaling marketplace runs smoothly across currencies, geographies, and payment platforms. You’ll be responsible for managing global cash flow, optimizing liquidity, strengthening banking and payments infrastructure, and mitigating financial risk. This is a highly cross-functional role, interfacing with product, operations, finance, and external banking partners, where you’ll help design and scale treasury processes that can support billions in travel transactions.
Job Responsibility:
Oversee daily global cash positions across multiple entities, currencies, and banks
Implement and refine short- and long-term cash forecasting to ensure sufficient liquidity for a high-volume travel marketplace
Deliver cash flow forecasts to executive leadership, highlighting key events to support informed strategic decisions
Partner with product and operations to ensure smooth payment flows across multiple regions and providers
Lead the selection and execution of automating a cash forecasting solution with a Treasury management system, drive efficiency in treasury workflows, ensuring accuracy and scalability
Monitor foreign exchange exposures across multiple currencies driven by global travel bookings
Support the design and execution of hedging strategies to minimize FX and interest rate risks
Maintain strong internal controls around treasury activities
Support financing initiatives, including debt compliance and investor reporting
Contribute to investment strategies for excess cash balances
Work closely with FP&A and Accounting to optimize working capital and align forecasts
Partner with product and engineering teams on new payment flows, product launches, and expansion into new geographies
Manage Relationships with Banking Partners
Oversee KYC (Know Your Customer) Compliance
Support New LOC (Letters of Credit) Initiatives
Manage global banking platforms and support new bank account setups, documentation, and compliance
Monitor Banking Performance and Service Levels
Requirements:
Bachelor’s degree in Finance, Accounting, Economics, or related field (MBA, CFA, or CTP a plus)
4–7+ years of treasury, corporate finance, or payments-related experience, ideally in a global, high-growth environment
Strong knowledge of cash management, FX, and treasury systems
experience with high-volume transactions is a plus
Familiarity with global payments, multi-currency operations, and fintech/payment providers
Advanced Excel and financial modeling skills
TMS or ERP system experience preferred
Analytical and detail-oriented, with the ability to thrive in a fast-paced, entrepreneurial environment
What we offer:
Well-funded and proven startup with large ambitions, competitive salary and the upsides of pre-IPO equity packages
Unlimited PTO
Carrot Cash travel stipend
Access to co-working space on demand through FlexDesk AND Work-from-home stipend
Generous parental leave
Entrepreneurial culture where pushing limits and taking risks is everyday business
Open communication with management and company leadership
Small, dynamic teams = massive impact
100% employer paid Medical, Dental and Vision coverage for employees