Senior Treasury Manager
ecoATM | Gazelle
| Company | ecoATM | Gazelle |
| Category | Finance |
| Location | Remote |
| Remote | Remote |
| Employment | Not stated |
| Level | Manager |
| Salary | Not stated by the employer |
| Posted | 16 Oct 2025 |
| Last verified | 2 Aug 2026 |
| Source | Employer ATS (greenhouse) |
Description
Company Overview (Who are we? Why should you join us?)
At ecoATM the proof of our success is in our staggering growth, extraordinary impact on protecting the planet, and providing a work culture unlike any other. We are a technology company and a pioneer of device re-commerce. Through our 7,000 automated kiosks and online marketplace Gazelle.com, we enable people all over the world to join the mobile device re-use revolution, a revolution that will get billions of used smartphones out of the e-waste cycle and into the hands of people who don’t have affordable access to the empowerment of the latest mobile technology.
At ecoATM we know our employees are our greatest strength and the key to our continued growth and success. When you join our team, you will enjoy more than just a job, you will be empowered to develop and utilize your unique talents and skills to build a rewarding career while making a lasting, positive impact on the planet.
Our Values and Leadership Behaviors
About the Role
The Treasury Manager owns the full spectrum of treasury operations, from daily cash positioning and high-volume reconciliation across thousands of kiosk locations to debt compliance, lender relationships, and capital markets support. This is a hands-on, senior role with clear visibility to the CFO and meaningful influence over how the company manages liquidity, risk, and financing strategy.
Key Responsibilities
Cash Operations & Reconciliation
Oversee end-to-end cash operations across a high volume of bank accounts and distributed cash collection points (retail kiosks and field operations).
Ensure timely, accurate reconciliation of deposits, in-transit funds, and variances across multiple systems, resolving discrepancies in partnership with Accounting and Operations.
Manage complex, high-volume reconciliation environments and investigate variances to ensure accurate cash recording, journal entries, and account reconciliations.
Manage daily cash positions and credit facility borrowings to support company disbursements; monitor volatility, deposits, and debt service costs.
Develop and present short- and long-term cash forecasts to senior leadership.
Debt & Covenant Management
Own all aspects of debt compliance: covenant calculations, lender reporting packages, and day-to-day adherence to credit agreement terms.
Interpret and operationalize debt agreements, ensuring business activities remain in compliance with all terms and restrictions.
Serve as the primary lender contact, managing communications, information requests, amendments, and refinancing activity.
Support negotiation, amendment, and refinancing of credit facilities, including analysis of covenant structures and terms.
Maintain audit-ready documentation and controls across all debt-related obligations.
Support capital structure initiatives, board materials, and investor communications.
Liquidity & Borrowing
Monitor operational cash flow volatility and manage liquidity to ensure the company meets all disbursement obligations.
Invest idle cash per investment policy to maximize returns while safeguarding liquidity.
Payments, Controls & Risk Management
Oversee execution and security controls for ACH, wire, and FX transactions.
Maintain and enhance treasury policies, internal controls, and compliance with regulations and credit agreements.
Monitor financial risks (interest rate, FX, liquidity, counterparty) and recommend hedging or mitigation strategies as appropriate.
Ensure proper governance over cash, FX, debt, and related financial reporting.
Banking, Systems & Automation
Manage banking relationships, optimize account structure, and negotiate services and fees.
Implement and maintain treasury management systems, ERP integrations, and banking platforms.
Lead system implementations and enhancements to improve reconciliation efficiency and data integrity.
Drive automation of t
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