Treasury Manager

Reposted 9 Days Ago
Be an Early Applicant
2 Locations
In-Office
135K-175K Annually
Senior level
Artificial Intelligence • Software
The Role
Own global cash and liquidity operations, manage banking relationships, optimize working capital, lead cash flow forecasting and liquidity planning, handle FX and multi-currency operations, implement ERP and TMS, and build/scale the treasury function in partnership with Finance, Legal, and Operations.
Summary Generated by Built In
About Fluidstack

We exist to make humanity more free. For most of human history, you farmed or you starved. Technology gave people more time for the things they wanted to do, instead of things they had to do. Powerful AI will be the biggest lever for human choice we've ever built - but only if models are aligned with what humanity actually wants. There are groups building AI who don't share these goals. Whoever deploys frontier compute infrastructure fastest will decide whether AI expands human freedom or shrinks it.

We're singularly focused on delivering 10 to 100s of GWs of compute faster than anyone else, rethinking every layer of the stack. We acquire power, design and build data centers, and operate them - with teams spanning hardware and software. Speed and scale are our key differentiators. Come be a part of building civilization-scale infrastructure for AI.


We hire people who care deeply about this problem space. If that is you, please apply!

About the Role

As Treasury Manager at Fluidstack, you will own the company's global cash and liquidity operations, ensuring we have the financial infrastructure to scale at pace with our ambitions. You'll work closely with Finance, Legal, and Operations leadership to manage banking relationships, optimize working capital, and build the treasury function from the ground up. This is a high-impact role for someone who thrives in a fast-moving environment and wants to help finance the future of AI infrastructure.

Basic Qualifications:
  • Experience in treasury, corporate finance, or a related function, ideally within a high-growth tech or infrastructure company

  • Proven experience managing cash flow forecasting, liquidity planning, and bank relationship management

  • Strong understanding of FX risk management and multi-currency operations

  • Experience working with ERP systems and treasury management systems (TMS)

  • Bachelor's degree in Finance, Accounting, Economics, or a related field

Preferred Qualifications:
  • CTP (Certified Treasury Professional) or CFA designation

  • Experience building or scaling a treasury function at a startup or scale-up

  • Familiarity with international payments, cross-border transactions, and intercompany funding structures

  • Prior exposure to capital markets, debt facilities, or venture/growth-stage financing

Salary & Benefits
  • Competitive total compensation package (salary + equity).

  • Retirement or pension plan, in line with local norms.

  • Health, dental, and vision insurance.

  • Generous PTO policy, in line with local norms.

 

We are committed to pay equity and transparency.

Fluidstack is an Equal Employment Opportunity Employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, national origin, sexual orientation, gender identity, disability and protected veterans’ status, or any other characteristic protected by law. Fluidstack will consider for employment qualified applicants with arrest and conviction records pursuant to applicable law.

You will receive a confirmation email once your application has successfully been accepted. If there is an error with your submission and you did not receive a confirmation email, please email [email protected] with your resume/CV, the role you've applied for, and the date you submitted your application-- someone from our recruiting team will be in touch.

Skills Required

  • Experience in treasury, corporate finance, or a related function, ideally within a high-growth tech or infrastructure company
  • Proven experience managing cash flow forecasting, liquidity planning, and bank relationship management
  • Strong understanding of FX risk management and multi-currency operations
  • Experience working with ERP systems and treasury management systems (TMS)
  • Bachelor's degree in Finance, Accounting, Economics, or a related field
  • CTP (Certified Treasury Professional) or CFA designation
  • Experience building or scaling a treasury function at a startup or scale-up
  • Familiarity with international payments, cross-border transactions, and intercompany funding structures
  • Prior exposure to capital markets, debt facilities, or venture/growth-stage financing
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The Company
HQ: London
30 Employees
Year Founded: 2017

What We Do

Instantly reserve dedicated clusters of NVIDIA H200s and GB200s for any scale to supercharge your training and inference workflows.

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