Associate Director, Treasury & Cash Management

Webull Corporation

$135K — $165K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree or higher in Finance, Accounting, Economics, or a related field.
  • 6+ years of corporate finance experience, with a focus on cash positioning and liquidity management.
  • Experience in retail brokerage, fintech, or fast-paced financial services environment is preferred.
  • Proven experience with Treasury Management Systems (TMS) and advanced Excel functions.
  • Exceptional analytical skills with strong verbal and written communication abilities.

Responsibilities

  • Monitor and manage daily cash positions to ensure optimal liquidity across accounts.
  • Review, approve, and execute high-value transactions, including wires and ACH transfers.
  • Oversee daily cash activity reconciliation to the general ledger and address discrepancies.
  • Conduct variance analysis on cash flow forecasts to produce actionable insights.
  • Drive automation by improving existing cash management workflows and processes.
  • Act as the primary contact for auditors and regulatory teams regarding operational inquiries.
  • Train and mentor junior treasury staff to foster a high-performing team.

Benefits

  • 100% paid medical, dental, and vision insurance for employees and dependents.
  • 401(k) matching and commuter benefits for New York positions.
  • Generous vacation and leave policies that increase with tenure, including paid parental and volunteer leave.
  • Wellness benefits including fitness programs and pet insurance.
  • Tuition reimbursement for relevant degrees and certifications.
  • Office perks such as catered meals and fully stocked kitchens.
Full Job Description
About The 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.

In This 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.


The Skills You Bring

  • 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.


What Makes You Stand Out

  • Certifications: CPA license, CTP (Certified Treasury Professional), or a background in public accounting/audit.


Why Webull?

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 benefits for NY positions, and short-term disability coverage.
  • Work-Life Balance: Generous time off that increases with tenure, paid parental leave, personal days, sick time, volunteer days and company holidays.
  • Wellness & Pet Care: Fitness and wellness benefits, plus pet insurance for your furry friends.
  • Investing in Your Future: We provide tuition reimbursement to help you pursue relevant degrees, certifications, and training that align with your career goals.
  • Dynamic Office Perks: Catered breakfast (every Monday) & lunches (every Friday), fully stocked kitchens, and monthly happy hours to connect and collaborate.


This role is based in our New York Office (44 Wall Street), where in-person collaboration fuels growth, mentorship, and innovation. At Webull, we're committed to fair, equitable, and transparent compensation. The base salary range is ($135,000- $165,000) annually, plus a discretionary bonus and full benefits. Final offers consider experience, location, and relevant qualifications.

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