Base: strong base salary aligned with market range...
On-site
Professional accounting designation or cfa
3 years experience in cash management treasury
Intermediate level knowledge of sql
The role involves managing the collateral and funds flow program for Neo's assets under management including deposits and mortgages
Job Summary
The role involves managing the collateral and funds flow program for Neo's assets under management including deposits and mortgages.
Candidates will execute daily cash management forecasting to ensure capital requirements are properly incorporated into corporate modeling.
The company offers equity ownership, short-term incentive plans tied to KPIs, and a competitive base salary with flexible cash/equity mix.
Matching Summary
The role involves managing the collateral and funds flow program for Neo's assets under management including deposits and mortgages.
Salary
Base: Strong base salary aligned with market ranges; Bonus/Equity: Short term incentives and equity ownership included; Benefits: Flexible health benefits, life insurance, 21 days PTO, spending accounts
Skills & Requirements
Must-have
Professional accounting designation or CFA
3 years experience in cash management treasury
Intermediate level knowledge of SQL
Nice-to-have
Experience building and leading new projects
Resourceful and growth-oriented mindset
Ability to thrive in fast-paced startup environment
Key Requirements
Professional accounting designation (CPA/CA) OR CFA
At least 3 years relevant experience in cash management or treasury