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Senior Manager, Treasury

USAHybridPosted 1 month ago

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Job type
Full-time
Work mode
Hybrid
Level
Senior
Department
Finance and Accounting
Experience
5+ years experience
Posted
Aug 25, 2026

About the role

We're looking for a Senior Manager, Treasury to develop and manage Lemonade's corporate treasury operations. You'll be part of the Finance team, building and maintaining relationships with our banking and investment management partners while supporting key stakeholders across all of our global entities. As Lemonade grows into new markets and launches new products, your insights will directly shape how we navigate the financing and regulatory complexity that comes with scaling a modern insurance company.

We believe three things matter for every role at Lemonade: drive to push through challenges, efficiency that keeps standards high while moving fast, and adaptability that lets you pivot with data and AI insights. These aren't buzzwords, they're how we actually work.

Our AI-first approach isn't just a tagline either. We're building the future of insurance with AI at the center, and we need people who are genuinely excited to learn and grow alongside these tools.

In this role you'll

  • Manage relationships with banking and investment management partners, serving as the primary point of contact across Lemonade's global entities
  • Oversee the company's global cash position and cash flow forecasting, ensuring liquidity strategy supports ongoing operating needs
  • Partner with Finance and Accounting to execute treasury operations projects end-to-end
  • Monitor and manage the corporate investment portfolio, recommending strategic changes to investment policy that improve returns
  • Quantify and analyze company-wide foreign currency exposures — transactional, economic, and translational — and make hedging recommendations
  • Manage intercompany relationships and arrangements, maintaining appropriate capital levels and managing FX translation exposure
  • Ensure compliance with treasury controls documentation and support quarterly reviews and annual audit requests

What you'll need

  • 5+ years of treasury or corporate finance experience, with hands-on exposure across multiple disciplines — Cash Management, Treasury Operations, FX, and Investment Management
  • Extensive treasury operations background including banking and cash operations, cash management, and forecasting
  • Proficiency with TMS solutions, including Trovata and Clearwater
  • High proficiency in Excel and Google Workspace
  • Solid command of U.S. GAAP, including ASC 820 Fair Value Measurement and ASU 326 Financial Instruments - Credit Losses (CECL)
  • A bachelor's degree in Finance, Accounting, Economics, or a related field
  • Ready to work in our Soho office 3 days per week

Please note that we are unable to sponsor applicants for work visas.

Unfortunately, we cannot consider applicants from these states: Alaska, California, Colorado, Montana, Hawaii, New Mexico and Puerto Rico.