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Treasury Manager jobs in United States
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AppFolio · 1 month ago

Treasury Manager

AppFolio is a technology leader in the real estate industry, focused on delivering innovative solutions for their customers. The Treasury Manager will play a key role in financial operations by developing strategies for liquidity and risk management, as well as overseeing cash flow forecasting and insurance programs.
Big DataElectronicsInformation TechnologyReal EstateSaaSSoftwareCloud ComputingAnalyticsComputerProperty ManagementPropTechWeb Hosting
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H1B Sponsor Likelynote

Responsibilities

Design and execute comprehensive cash management strategies to optimize liquidity and investment income
Architect complex cash flow forecasting models that provide clarity for long-term strategic planning and investment decisions
Manage and evolve our corporate insurance programs, proactively identifying and mitigating enterprise risk
Thrive in a highly collaborative, cross-functional environment by partnering with Finance, Legal, and other parts of the business to ensure a smooth operating environment
Forge strong partnerships with the Payments Product team to align treasury operations with product roadmaps and customer-facing financial features
Elevate the collective output of the department by implementing best-in-class treasury controls and automated reporting
Consistently meet commitments related to monthly reporting cycles and internal compliance audits
Prioritize urgency and transparency when communicating liquidity positions or cash flow models

Qualification

Corporate TreasuryCash ManagementCorporate Insurance RenewalsCash Flow ForecastingFinancial ModelingGAAP Cash Flow Financial StatementsExcel

Required

Demonstrated expertise in managing multi-entity corporate treasury functions within a high-growth environment
Strong knowledge of GAAP cash flow financial statements
Exceptional analytical mindset with the ability to bring clarity to financial data sets
Strong communicator who leads with a confident and authentic voice to build trust with banking partners and company management
Proven ability to disrupt manual processes through industry-leading innovation
5+ years of experience in Corporate Treasury, Cash Management, or a related financial role
Direct experience managing corporate insurance renewals and claims processes
Advanced proficiency in cash flow forecasting and financial modeling
Expert-level mastery of Excel and professional-grade cash management tools/portals

Benefits

Regular full-time employees are eligible for benefits - [see here](https://www.appfolio.com/company/careers#Benefits).
We enable a culture of high performance, where delivering results is recognized by opportunities for growth and compelling total rewards.
We're cultivating a team of big thinkers through coaching and mentorship with our best-in-class leaders, and giving you the time and tools to develop your skills.
We excel at hybrid work by fostering an environment that feels flexible, personal and connected, no matter where we are.

Company

AppFolio

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AppFolio is a cloud business management solutions provider for the real estate industry.

H1B Sponsorship

AppFolio has a track record of offering H1B sponsorships. Please note that this does not guarantee sponsorship for this specific role. Below presents additional info for your reference. (Data Powered by US Department of Labor)
Distribution of Different Job Fields Receiving Sponsorship
1%
Represents job field similar to this job
Accounting and Finance
Engineering and Development
Product Management
Management and Executive
Customer Service and Support
Creatives and Design
Trends of Total Sponsorships
*2026 (13)
2025 (18)
2024 (24)
2023 (22)
2022 (34)
2021 (51)
2020 (35)

Funding

Current Stage
Public Company
Total Funding
$30M
Key Investors
Investment Group of Santa BarbaraCisco,HeadlineHeadline
2015-06-26IPO
2013-11-01Series Unknown
2009-08-18Series C· $8M

Leadership Team

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Shane Trigg
President and CEO
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Tim Eaton
Chief Financial Officer
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Company data provided by crunchbase