Lead all aspects of Treasury across U.S. and international markets Ensure adequate liquidity by developing funding plans and optimizing capital Oversee periodic reconciliation, forecasting, and financial reporting Collaborate with Capital Markets, Engineering, Product, Credit Analytics, and Internal Audit Partner with Finance and leadership on budget, capital structure, and liquidity planning Own development and implementation of hedging strategies, cash reconciliation systems, bank connectivity tools, and treasury controls Stay current on regulatory requirements and provide guidance Develop and maintain an analytical reporting framework Manage relationships with banking partners, rating agencies, and insurance providers