Affirm, Director of Treasury



  • Build full Treasury team to manage / support all Treasury functions

  • Responsible for all parts of Affirm cash management including ensuring adequate liquidity for operational needs, execution on funding, liquidity, and capital, and reconciling balances

  • Set the annual plan & provide cash forecasts with Strategic Finance

  • Optimize returns on cash balances while maintaining daily, weekly and long term liquidity

  • Primary business owner for development of daily cash reconciliation and other bank engineering tools as well as controls

  • Work cross functionally with Capital Markets, Bank Engineering, Strategic Finance and Treasury Product team

  • Advise on risk analysis for any securities held by the company including interest rate hedges

  • Develop and maintain knowledge of regulatory issues related to interest rate risk, capital management and liquidity management. Provide research on new regulations and their impact on prospective firm initiatives. Partner with Businesses in the development of new products and advise on the regulatory implications

  • Development analytical reporting framework for senior management, business partners, and regulators


  • 5+ years of financial services experience in treasury or related financial function

  • 10 years total experienceBA/BS required

  • Strong model experience including framework development, documentation, validation, governance, integration, automation and metric creation

  • Demonstrable experience at lending institution and have familiarity with warehouse lines, etc.

  • Experience with interest rate swaps, reporting, stress testing, and collateral requirements

  • Knowledge and/or experience should include: asset liability management, interest rate risk, excel, SNL