Treasury & FinOps Manager (Operational)

🏒 Influur · all Influur jobs
πŸ“ Mexico
πŸ“… Posted 2026-08-15 Β· via Himalayas
🏷 Finance,Treasury-Management,Finance-Operations,FinOps-Manager,Corporate-Finance,Finance-Operations-Manager,Accounting-and-Treasury-Manager,Treasury-Manager,Financial-Operations-Manager,Finance-And-Operations-Manager
Apply on original site β†—

Influur is redefining how advertising works β€” through creators, data, and AI. Our mission is to make influencer marketing as measurable, predictable, and scalable as paid ads β€” and we’re building the tech that powers it. Backed by top-tier investors and trusted by global brands, we’re scaling fast across music and culture.

We are looking for an amazing Treasury & FinOps Manager that own Influur 's treasury and financial operations: cash, collections, payments, AR/AP, and the seller relationship. The goal: keep financial operations flawless, automated, and up to date, without the CFO having to chase.

Role transition

-
Stage 1 (now): 80% operational / 20% strategic. Focus on running treasury operations frictionlessly and automating them.

-
Stage 2 (with performance and a mature function): 60% operational / 40% strategic. The role grows into the strategic layer: banking, debt, working capital, and investments.

Operational responsibilities (the core)

-
Accounts receivable and payable (AR/AP): full cycle, current and traceable.

-
Collections strategy and follow-up: a living process, with a shorter collection cycle.

-
Seller relationship: day-to-day coordination, collections, and resolution.

-
Cash management: daily visibility, reconciliations, nothing loose.

-
Payment calendar and treasury execution: vendor and seller payments, on time and organized.

-
Operational banking relationship: accounts, movements, and coordination with banks.

-
Process automation and AI: use technology and AI to scale the operation (key at Influur ).

-
Controls and reporting: documented, current, and reliable treasury.

Strategic layer (grows in Stage 2)

- Banking and debt strategy (ALCO committee).

- Working capital and 2 to 3 year cash flow projections.

- Cash optimization and investments (crypto and wallet project).

- Fintech projects.

What we are looking for

- Ownership and leadership: drive topics to closure.

- Elevate and automate, not just maintain.

- Bring solutions, not friction.

- Financial judgment and comfort using technology and AI as leverage.

First 90 days

- Collections current: a live follow-up process running, with a shorter collection cycle.

- Clean, predictable payment calendar.

- Reliable weekly cash visibility.

- First automations of the operation (AR/AP and collections).

Profile

- Real experience in financial operations or treasury.

- Ownership and drive to grow into the strategic layer.

- Bilingual Spanish and English.

- Comfortable with AI and automation.

What we offer:

- Remote work

- Opportunities to grow fast and develop within a venture-backed startup

- Opportunity to learn and use AI/automation tools to improve financial processes

- A collaborative, high-ownership team environment

Originally posted on Himalayas

← All remote jobs