About the job
Position Summary
Join Tipalti Solutions as a Senior Global Treasury Manager, where you will take charge of our global corporate treasury operations. This pivotal role involves managing corporate banking and lending partnerships, while collaborating with our accounting, finance, and payment operations teams to scale our treasury and banking processes in line with Tipalti’s rapid growth.
As a leader in the Financial Operations Platform sector, Tipalti empowers mid-market clients to streamline their Global Payables through our comprehensive accounts payable platform, payment execution, and reconciliation solutions. In this unique position, you will also collaborate with our product and commercial teams, contributing to the enhancement of the Tipalti platform by providing user feedback and suggestions for new features.
Why Join Tipalti?
At Tipalti, we revolutionize finance automation through our AI-driven platform, enabling finance teams to operate efficiently in the global landscape. We support our clients in scaling their businesses by simplifying global operations and enhancing financial efficiency. Our all-encompassing suite of finance automation solutions includes accounts payable, global payouts, procurement, employee expenses, corporate cards, supplier management, tax compliance, and treasury management.
Tipalti collaborates with top financial institutions like Citi, Wells Fargo, J. P. Morgan, and Visa, empowering over 5,000 global companies to process payments to millions of suppliers across 200+ countries and in 120 currencies.
We pride ourselves on fostering a collaborative culture, delivering high-quality products, and cultivating exceptional talent. Our team members are dedicated and passionate, thriving in an environment that values diversity and encourages impactful contributions. Tipalti offers competitive benefits, flexible work arrangements, career coaching, and a workplace that nurtures individual growth.
Founded in Israel in 2010, Tipalti is headquartered in the San Francisco Bay Area (Foster City) and has offices in Tel Aviv, Plano, Toronto, Vancouver, London, Amsterdam, Tbilisi, and Medellin.
Key Responsibilities:
- Monitor the global daily cash position and manage treasury operations effectively.
