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We’re looking for a Treasury Analyst to support liquidity operations, cash and inventory management, and financial controls across a complex, multi-entity environment. In this role, you’ll play a key part in ensuring accurate daily cash and digital asset visibility, executing critical funding activities, and supporting operational payment workflows that keep Figure running smoothly. You’ll work closely with finance, operations, and accounting teams to maintain strong treasury processes across our various banks and wallets, support compliance with internal controls, and help scale our treasury infrastructure as we grow. This is a great opportunity for someone who thrives in fast-moving environments, enjoys operational precision, and wants to develop deep expertise in treasury and financial operations.
Job Responsibility:
Prepare cash and inventory reporting across entities
Monitor and reconcile daily bank balances and transaction activity across all operating accounts
Perform daily cash positioning to determine liquidity requirements for funding, vendor payments, and other operational processes
Execute cash movements, including wires, ACH transfers, and internal account allocations, ensuring compliance with approval protocols
Support vendor payment processing, including wire initiation, callback confirmations, and oversight of wire templates
Requirements:
2+ years in the financial services industry with experience in funding and treasury operations