Associate Director, Treasury & Cash Management
Listed on 2026-09-19
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Finance & Banking
Financial Compliance, Risk Manager/Analyst, Financial Reporting, Financial Analyst
Associate Director, Treasury & Cash Management
Webull Financial Saint Petersburg, Florida, United States
About this positionWebull is a leading digital brokerage platform built on next generation global infrastructure. At Webull, we believe that everyone should have an equal opportunity to control their own financial future. Our vision has always been to empower individual investors with the tools and resources they need to succeed financially. This commitment remains at the heart of everything we do. From low-fee trading and robust market data to advanced analytical tools, we are committed to providing a seamless, top-tier trading experience.
AboutThe Role & Team
We are looking for a meticulous, proactive, and forward-thinking Treasury professional to join our finance team. This role is a critical hub for our financial operations, responsible for balancing the firm’s daily cash position, optimizing liquidity, and ensuring strict compliance with industry regulatory requirements. The ideal candidate possesses a strong understanding of financial markets, thrives in a fast-paced environment, and is looking for a high-visibility role where they can take true ownership of cash management processes and drive automation.
InThis Role, You Will
- Liquidity & Positioning:
Monitor and manage daily cash positions to ensure optimal, friction-free liquidity across all corporate and settlement accounts. - Transaction Execution:
Review, approve, and execute high-value wires, ACH, and debit card fund transfers to meet daily operational, settlement, and regulatory needs. - Reconciliation & Controls:
Oversee the reconciliation of prior-day cash activities to the general ledger; proactively investigate and resolve any discrepancies or complex banking inquiries. - Forecasting & Analysis:
Conduct detailed variance analysis on cash flow forecasts, transforming raw data into actionable insights for senior management. - Process Optimization:
Champion an automation-driven mindset by auditing current cash management workflows and designing scalable process or system enhancements. - Audit & Compliance Liaison:
Serve as the primary operational point of contact for internal/external auditors, tax accountants, and regulatory examination teams. - Team Leadership:
Assist in training, mentoring, and supporting junior treasury staff members to build a resilient, high-performing team.
- Bachelor’s degree or higher in Finance, Accounting, Economics, or a related business field.
- 6+ years of corporate finance experience, with at least 3-4 years explicitly focused on cash positioning, liquidity management, and banking integrations.
- Direct experience within a retail brokerage, fintech, or fast-paced financial services environment is highly advantageous.
- Proven experience utilizing Treasury Management Systems (TMS), advanced Excel functions, or ERP treasury modules.
- Exceptional analytical problem-solving skills, crisp verbal/written communication, and a track record of driving initiatives independently.
- Certifications:
CPA license, CTP (Certified Treasury Professional), or a background in public accounting/audit.
Webull is more than a fintech company—we’re a global community of innovators, collaborators, and trailblazers. Headquartered in St. Petersburg, FL, Webull operates in 16 regions worldwide, serving over 20 million users. At Webull, your ideas matter, your voice is heard, and your work makes a real impact.
Investing in our people is a top priority for us, which is why we have a comprehensive benefits package that includes:
- Comprehensive Health Coverage : 100% paid medical and dental insurance for employees and dependents, vision insurance, and more!
- Financial Support : 401(k) match, commuter…
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