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Platform & Treasury Operation Manager

Job in Marlborough, Middlesex County, Massachusetts, 01752, USA
Listing for: Atlas Travel & Technology Group
Full Time position
Listed on 2026-08-30
Job specializations:
  • Finance & Banking
    FinTech, Banking & Finance, Financial Manager, Financial Compliance
Salary/Wage Range or Industry Benchmark: 100000 - 140000 USD Yearly USD 100000.00 140000.00 YEAR
Job Description & How to Apply Below
Position: Payment Platform & Treasury Operation Manager

If you are unable to complete this application due to a disability, contact this employer to ask for an accommodation or an alternative application process.

Payment Platform & Treasury Operation Manager

Full Time Marlborough, MA, US

Salary Range: $ To $ Annually

Payment Platform & Treasury Operation Manager

FLSA Status:
Exempt

Business Unit:
Finance

This position reports to:
Chief Financial Officer

Remote-Northeast Area

Overview:
At Atlas Travel & Technology Group, our purpose is to Stand-Up, Stand-Out. To do something every day that makes the next day better for all. We value creativity to build new paths forward, collaborate respectfully, have the drive to get up and do it, open ourselves to grow, do what we say, love what we do and have fun along the way.

This is who we are, our culture.

As the Payment Platform & Treasury Operations Manager, you will sit within the Finance organization as the single DRI (Directly Responsible Individual) for our corporate payment infrastructure, merchant services, and payout capabilities within The Roam Payment Platform by Atlas. Operating at the intersection of treasury strategy, platform cost optimization, and cross-functional product delivery, you will ensure our financial rails are scalable, cost-efficient, and compliant across all markets.

In this role, you will manage cash settlement flows, optimize card processing fees, and ensure financial data integrity across our ERP and payment rails. Simultaneously, you will serve as the strategic bridge between Finance, Engineering and Go-To-Market teams, translating customer feedback into IT roadmap requirements, driving platform cost efficiencies and partnering with commercial teams to enable and onboard key clients onto our payment platforms.

The Payment Platform & Treasury Operation Manager will be required to travel to our HQ in Marlborough, MA on occasion. Defining Success in This Role:
Success in this role is defined by the financial efficiency, security and scalability of our payment platforms. You will have succeeded when:

  • Roam Finance runs seamlessly with continuously optimized unit economics/interchange fees and automated reconciliation and reporting.
  • Treasury operations, cash settlement flows and general ledger reconciliations achieve near-perfect accuracy.
  • The Engineering team receives clear, market-informed product specifications derived from customer usage, feedback and operational needs with clear prioritization.
  • Commercial teams are equipped with deep platform knowledge, enabling smooth client onboarding and clear articulation of program benefits.
Responsibilities and Duties

The ideal candidate will combine deep treasury and payment rail experience with proactive cross-functional leadership across product, IT and commercial teams.

Payment Platform Ownership & Fee Optimization
  • Serve as the end-to-end administrator and operational owner of our finance and payment solutions, overseeing processing capabilities, feature rollouts and transactional flows.
  • Continuously monitor, analyze and optimize payment platform processing costs, interchange rates, acquiring fees, and transaction economics to minimize operational expense.
  • Maintain direct oversight of vendor relationships, platform SLAs and reporting tools associated with key payment processing rails.
  • Work to expand our relationships to support additional vendors, currencies as we globalize the solution.
2. Treasury Management & Financial Operations
  • Apply strong corporate finance and treasury expertise to manage cash liquidity, transaction settlement schedules, card issuing/acquiring mechanics and balance reconciliations.
  • Partner with core accounting/finance to ensure accurate configuration and posting logic within our ERP (e.g., Unit4), guaranteeing ledger accuracy from transaction capture to financial reporting.
  • Implement robust validation rules, risk mitigation strategies and exception-handling frameworks across KYC, AML, credit underwriting and fraud prevention.
  • Act as the primary liaison between Finance, Commercial teams and Engineering to shape and prioritize the internal payment product roadmap.
  • Gather direct insights from customer feedback, sales engagements and…
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