CoreWeave
AI Cloud
TreasuryOperationsAnalyst
Neural analysis suggests this role is
optimal for Mid candidates.
“Treasury Operations Analyst at CoreWeave. Skills: Treasury operations, Cash management, Forecasting, Payment processing, Financial analysis. Processing timely payments. Ensuring sufficient funds for operational and capital investment requirements”
What You'll Achieve.
Facilitate the company’s rapid growth; Ensure overall coordination of all cash activities; Accelerate breakthroughs and turn compute into capability
Industry & Context.
Solve problems by digging into details; Organizing information; Finding clear answers that help things run smoothly
Must be eligible to work in the US, No H1-B visa sponsorship available, Requires access to export controlled information, Must be a U. S. person (U. S. citizen or national, U. S. lawful permanent resident, refugee, or asylee) or eligible to access export controlled information without required authorization or obtain required authorization
What They're Looking For.
Must Have
3+ years of progressive experience, Master proficiency in MS Excel and Google Sheets, Eligible to work in the US
Nice to Have
Treasury or Corporate Finance experience, Experience managing cross-functional workstreams, Experience supporting treasury management platforms, Experience in Netsuite, SAP or other ERP
What You'll Do.
Processing timely payments
Ensuring sufficient funds for operational and capital investment requirements
Verifying transaction information
Scheduling and preparing payments
Obtaining authorization of payment
Forecasting cash flow
Supporting the implementation
maintenance and utilization of the treasury management system
Developing repeatable and scalable processes in Treasury areas
Preparing ad-hoc analyses on banking and cash management issues
How You'll Work.
Team & Collaboration
Partner closely with internal teams like Accounting, Accounts Payable, Payroll, Tax; Support external banking relationship management; Interface with global finance and business teams, and external partners; Support AP, Payroll, Audit, Accounting, Tax and Treasury team ensuring overall coordination of all cash activities; Work well with others in a fast-paced and ever changing business
Communication Scope
Highly articulate; Excellent verbal and written communication skills; Communicating complex financial information in an easy to understand format; Comfortable interacting with the executive management team
Process & Methodology
Managing cross-functional workstreams
Full Job Description
CoreWeave is The Essential Cloud for AI™. Built for pioneers by pioneers, CoreWeave delivers a platform of technology, tools, and teams that enables innovators to build and scale AI with confidence. Trusted by leading AI labs, startups, and global enterprises, CoreWeave combines superior infrastructure performance with deep technical expertise to accelerate breakthroughs and turn compute into capability. Founded in 2017, CoreWeave became a publicly traded company (Nasdaq: CRWV) in March 2025. Learn more at www.coreweave.com. What You’ll Do: We are seeking a high-performing, self-sufficient Analyst to join our Treasury team. This position reports to the Senior Manager of Treasury and will support our day-to-day operations, cash management, and reporting. A high level of ownership and curiosity will be required as well as the capacity to develop and document scalable processes. You will partner closely with internal teams like Accounting, Accounts Payable, Payroll, Tax, and support external banking relationship management to facilitate the company’s rapid growth. Candidates will have outstanding partnership and communication skills, be able to handle multiple priorities, possess deep attention to detail, an unrelenting drive to get to the answer, and have the ability to thrive in the ambiguity and open space that comes in a fast-growing organization. Candidates will also be required to have exceptional Excel and data manipulation skills. This position will be based in either Manhattan, NY or Livingston, NJ. About the role: Responsible for processing timely payments and ensuring sufficient funds are available to meet ongoing operational and capital investment requirements Verifying transaction information, scheduling and preparing disbursements; obtaining authorization of payment Support AP, Payroll, Audit, Accounting, Tax and Treasury team ensuring overall coordination of all cash activities Assist with managing cash flow, forecasting, and optimizing liquidity Support
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