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RemoteListed Jul 10, 2026

Treasury & FinOps Manager

Influur

  • Cash-Flow-Management
  • Finance-Operations
  • Financial-Management
  • Startup-Finance
  • Treasury-Management

Assessed from original listing evidence

The role

Job description

Influur is redefining how advertising works — through creators, data, and AI. Our mission is to make influencer marketing as measurable, predictable, and scalable as paid ads — and we're building the tech that powers it. Backed by top-tier investors and trusted by global brands, we're scaling fast across music and [link removed]’re looking for a Treasury & FinOps Manager to oversee Influur’s treasury management and financial operations. This role is ideal for someone with a strategic mindset around cash flow, banking, and capital optimization, combined with strong leadership in financial [link removed] you’re passionate about building scalable financial strategies, thrive on optimizing resources, and want to play a key role in the growth of a fast-scaling startup, this one’s for you!

Your Skillset

  • Lead treasury operations, including cash flow forecasting and banking relationship management.
  • Develop and execute strategies to optimize working capital by effectively managing cash conversion cycles.
  • Build relationships with banks and financial institutions to secure competitive financing solutions.
  • Lead the development of cash flow projectio√ns to identify funding needs and capital requirements.
  • Design and implement efficient treasury systems and controls.
  • Manage the accounts receivable function, implementing effective collection strategies.
  • Oversee working capital optimization initiatives and provide regular analysis of key metrics.

The First 6: Build, Learn, Deliver

  • Implement a comprehensive treasury management system with robust cash flow forecasting.
  • Develop and execute a banking strategy to optimize existing relationships and secure new facilities.
  • Reduce the cash conversion cycle through improved collection strategies.
  • Create and maintain detailed cash flow forecast models.

You’re the Type Who

  • Brings a generalist mindset, versatile, hands-on, and comfortable across the stack.
  • Moves fast, builds with precision, and expects high standards.
  • Thrives in early-stage startups where nothing is “someone else’s job”.
  • Sees ambiguity as an opportunity to leadIs obsessed with pushing complex financial processes if possible with AI and scalable systems.
  • Deep experience in treasury operations and bank relationship management.
  • Passionate about using data to improve financial efficiency.

Background

  • Has demonstrated experience in startups in treasury, banking, or financial operations.
  • Bilingual in Spanish and English.
  • Academic Background: Bachelor's degree in Finance, Economics, Administration, or related fields. MBA and CFA are a plus.
  • Strong experience in treasury management and banking relationships.
  • Proven track record in cash flow management and forecasting.
  • Knowledge of financial systems and business intelligence tools.
  • Strategic thinking and problem-solving skills in dynamic environments

What We Offer

-Competitive equity in a venture-backed company.-Opportunities to grow fast and develop.-Remote work.

Originally posted on Himalayas

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