About Us : DailyPay is transforming the way people get paid. As a worktech company and the industry’s leading on demand pay solution, DailyPay uses an award-winning technology platform to help America’s top employers build stronger relationships with their employees. This voluntary employee benefit enables workers everywhere to feel more motivated to work harder and stay longer on the job while supporting their financial well-being outside of the workplace. DailyPay is headquartered in New York City, with operations throughout the United States as well as in Belfast. For more information, visit DailyPay's Press Center.
The Role :
This is a unique opportunity to play an important role in shaping the future of our treasury operations and partnering with senior leadership to enhance the business. In this role, you'll leverage your extensive expertise to lead the treasury operations function for DailyPay. Reporting to the Treasurer, you will also liaise with our Capital Markets, Payment Operations, Financial Planning & Analysis, Accounting, Legal, and Data Analytics teams. You’ll have the opportunity to build a first-class treasury function at our fast-growing and dynamic worktech company.
Location : Hybrid (3 days in office / 2 days remote) – New York, NY.
If this opportunity excites you, we encourage you to apply even if you do not meet all of the qualifications.
How You Will Make an Impact :
Treasury Operations
- Manage daily cash needs : Supervise the daily process to ensure the appropriate amount of funding on all of our funding rails; monitor balances to make adjustments as necessary
- Forecast liquidity : Develop and maintain near term funding plan; explore new ways to forecast funding needs
- Support business units by providing leadership and support to new projects as necessary; work to stay ahead of new company initiatives
Debt / Financing
Oversee preparation of required lender and investor compliance reportingResponsible for interest expense, cash and liquidity forecastingBanking Infrastructure
Manage overall bank account structure, including automation, account administration (signatories, access, fees), opening and closingImprove the usage of our Treasury Management System (FIS Integrity) by actively seeking ways to enhance its functionality and efficiency, identifying and implementing new modules in order to automate processesTrack bank fees; provide periodic reports to management and suggest changes that could enhance yield by optimizing cash use and investmentAdministration / Reporting
Own the SOX program for Treasury; ensuring controls are in place and monitored appropriatelyEnhance management reporting, particularly related to cash balances and interest expenseEnsure full compliance with treasury policies and internal controls; including reporting against targets, limits and Early Warning IndicatorsWhat You Bring to The Team :
Exceptional leadership skills with proven ability to build, mentor and manage a high performing treasury teamExperience managing through change and transformation in a high-growth environment10+ years experience in treasury, cash management, and / or corporate financeAbility to create and build collaborative working relationships across the finance team and the companyExcellent communicator with great presentation skills, including the ability to simplify complex financial strategies when speaking with non-financial stakeholdersWhat We Offer :
Exceptional health, vision, and dental careOpportunity for equity ownershipLife and AD&D, short- and long-term disabilityEmployee Assistance ProgramEmployee Resource GroupsFun company outings and eventsUnlimited PTO401K with company match#J-18808-Ljbffr