Treasury Manager

San Mateo, California /
Business Operations – Finance /
/ On-site
Who We Are

At Verkada, we’re building the operating system for the physical world. 

We started in 2016 with video security cameras and an intuitive cloud-based platform, and in just six years, we've expanded to include five additional product lines (access control, environmental sensors and alarms, as well as visitor and mailroom management) that help enterprises to protect and manage their people and assets. 

Today more than 14,000 organizations across 63 countries worldwide trust Verkada as their physical security layer for easier management, intelligent control, and scalable deployments. We are valued at $3.2 billion, with $360 million raised in venture capital from investors including Linse Capital, MSD Partners, L.P., Felicis Ventures, Next47, Sequoia Capital, Meritech Capital, and First Round Capital. 

This is just the beginning. The need for businesses to secure and manage their people and physical assets with scale and speed is mission critical and continues to increase. Our teams are energized by the complex challenges we work on and the platform we are building to make the schools, hospitals, businesses and communities that we live and work in safer. 


As Treasury Manager, you will be responsible for providing support and strategy for all of Verkada’s treasury operations. The role requires analytical thinking, strategic decision making, and collaboration with a broad range of internal and external stakeholders . This role reports to the VP of Finance and will have significant engagement with the executive leadership team.

    • Manage and expand working capital lending facilities with syndicate of banks.
    • Develop and manage growing network of domestic and international banking relationships.
    • Oversee cash and investment management strategy with a focus on preserving capital while maximizing returns.
    • Manage foreign currency exposure for Verkada’s rapidly expanding international operations.
    • Collaborate closely with Strategic Finance and Executive Teams to ensure cash forecasts are accurate and funds are available as needed.
    • Provide periodic and ad hoc reporting related to cash management and capital markets activity, equity funding, and operational performance measurements.
    • Oversee all aspects of the Company’s global insurance program.
    • Get sh*t done: Since we’re still in scrappy startup mode, there’s a lot of rolling up your sleeves and getting into the weeds to drive direct impact on a daily basis. We knock out today’s problems while also balancing our need to build for the long-term. We accomplish this through hard work, being clear on what’s worth tackling and what’s not, and ensuring a high talent bar.

    • 3+ years of experience in finance/accounting, preferably including experience with treasury operations 
    • Familiarity with global payments, liquidity management, and cash and risk management solutions
    • Strong business acumen with ability to approach complex problems and solve them from start to finish.
    • High attention to detail.
    • At Verkada, we pride ourselves on first principles thinking and sweating the details as the keys to business results. 
    • Flexibility:you are comfortable working in a fast-paced startup environment that will require you to manage competing priorities, pivot quickly and continually build new processes as the company scales.
Verkada is an equal opportunity employer. We strive to be a welcoming place for everyone, and we do our best to make sure all people feel supported and connected at work. A big part of that effort is support for members and allies of our internal communities like Women at Verkada, Pride at Verkada, Multicultural at Verkada, and Parents at Verkada.