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Vice President of Treasury Operations

Job in Sandy Springs, Fulton County, Georgia, USA
Listing for: GreenSky®
Full Time position
Listed on 2026-02-16
Job specializations:
  • Finance & Banking
    Financial Manager, Corporate Finance
  • Management
    Financial Manager
Salary/Wage Range or Industry Benchmark: 100000 - 125000 USD Yearly USD 100000.00 125000.00 YEAR
Job Description & How to Apply Below

Green Sky LLC, headquartered in Atlanta, is a leading technology company Powering Commerce at the Point of Sale® for a growing ecosystem of merchants, consumers, and banks. Green Sky’s highly scalable, proprietary and patented technology platform enables merchants to offer frictionless promotional payment options to consumers, driving increased sales volume and accelerated cash flow. The Green Sky® Program is operated on behalf of, and financing is offered and made by, federally insured, federal or state chartered financial institutions, which leverage Green Sky’s technology to offer and make loans to primarily super-prime and prime consumers nationwide.

Since Green Sky’s inception, nearly 6 million consumers have financed more than $50 billion of commerce using Green Sky’s real time “apply and buy” technology.

Position:
Full-Time - VP, Treasury Operations

Location:

Atlanta, GA / Hybrid Organizational:
This position is a member of the Finance Operations team, reporting to the Senior Vice President, Finance Overview:
The VP of Treasury Operations owns the architecture, execution, control, and integrity of the company’s funding ecosystem, including investor accounting, investor reporting, warehouse facilities, and daily liquidity operations. This leader ensures accuracy, timeliness, and scalability of Treasury processes while driving cross-functional alignment across Finance, Operations, Capital Markets, Product, Servicing, Legal, and external stakeholders. Responsibilities:

Daily Liquidity & Funding Operations:

  • Oversee daily cash positioning, short-term funding forecasts, and liquidity controls.
  • Provide oversight for daily borrowing and repayment activity across warehouse credit facilities.
  • Coordinate settlements of loan originations, bank partner settlements, and investor settlements.
  • Serve as the central operational control point between Treasury, Accounting, Servicing, and Capital Markets.
  • Oversee cash-to-subledger reconciliations and partner with Accounting Operations to resolve variances.
  • Coordinate with Operations for C  check approvals and execution.
  • Ensure proper handling of charge-off reversals and rebooks to maintain accuracy in downstream reporting and cash settlement.

Credit Facility Management:

  • Own borrowing base calculations, asset eligibility testing, advance rates, and concentration limits.
  • Ensure accurate, timely preparation and delivery of lender compliance packages.
  • Monitor covenants, triggers, facility performance metrics, and reporting obligations.
  • Act as the primary operational interface with Capital Markets, Product, and Setpoint vendor to ensure operational effectiveness.
  • Support new facility launches, amendments, refinancings, participation sales, securitizations, and bank partner program changes.

Investor Accounting & Reporting:

  • Oversee daily settlement and reporting for Origination Banks, Investors, and bank partners.
  • Review draft agreements (originators, forward flows, securitizations, spec sales, bank partner programs) for Treasury implications.
  • Provide operational guidance on settlement mechanics, reporting waterfalls, triggers, and servicing requirements.
  • Lead operational implementation of new agreements, ensuring readiness across reporting, systems, servicing, and Treasury workflows.
  • Execute monthly investor statement production, performance reporting, and data reconciliations.
  • Ensure alignment of all investor reporting with legal agreements and facility structures.

Systems & Process Governance:

  • Serve as the Treasury Operations owner for process readiness, ensuring systems and integrations reflect accurate funding requirements, cash flows, investor terms, and reporting requirements.
  • Partner closely with Finance Transformation and Product to define requirements, validate updates, and enhance tooling.
  • Lead operational readiness for new products, funding structures, investor types, and bank partner workflows.
  • Reduce operational risk through automation, data quality improvements, and standardized controls.

Treasury Controls, Risk Management & Audit:

  • Maintain a SOX-aligned control environment across cash management, settlements, reconciliations, and reporting.
  • Own documentation, evidence, and…
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