쿠팡 · Finance

Treasury Operations Specialist

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공고 내용

We exist to wow our customers. We know we’re doing the right thing when we hear our customers say, “How did I ever live without Coupang?” Born out of an obsession to make shopping, eating, and living easier than ever, we’re collectively disrupting the multi-billion-dollar commerce industry from the ground up. We are an American technology company and one of the fastest-growing retail companies that has established an unparalleled reputation for being a leading and reliable force in global commerce.

We are proud to have the best of both worlds — a startup culture with the resources of a large global public company. This fuels us to continue our growth and launch new services at the speed we have been since our inception. We are all entrepreneurial, surrounded by opportunities to drive new initiatives and innovations. At our core, we are bold and ambitious people that like to get our hands dirty and make a hands-on impact. At Coupang, you will see yourself, your colleagues, your team, and the company grow every day.

Our mission to build the future of commerce is real. We push the boundaries of what’s possible to solve problems and break traditional tradeoffs. Join Coupang now to create an epic experience in this always-on, high-tech, and hyper-connected world.

Role Overview

Coupang is seeking an experienced and execution-focused Treasury Operations Specialist to support day-to-day treasury operations for our U.S. entities. This role is hands-on and operational in nature, requiring strong knowledge of U.S. banking, payments, cash management, and SOX-compliant controls. The role will partner closely with the Head of U.S. Treasury and the Global Treasury team, ensuring disciplined execution, strong governance, and reliable liquidity management in a fast-paced, high-growth environment.

What You Will Do

Treasury Operations Execution

· Execute daily treasury operations for U.S. entities, including payments, cash positioning, liquidity management, and short-term cash forecasting.

· Manage U.S. banking activities, including account openings and closures, bank mandates, KYC documentation, and ongoing relationship management.

· Support funding activities, intercompany cash movements, and FX settlements in line with global treasury policies.

· Partner with Accounting and Finance on cash flow forecasting, month-end close and reconciliations.

Controls, Compliance Risk Management

· Ensure compliance with SOX controls, internal treasury policies, segregation of duties and approval frameworks.

· Maintain strong governance over payment processes, banking access, user entitlements, and audit documentation.

· Support internal and external audits by providing treasury documentation, control evidence, and process explanations.

· Stay informed on U.S. regulatory and compliance requirements affecting treasury operations.

Systems Process Excellence

· Operate treasury processes within Treasury Management Systems (TMS), ERP integrations, and U.S. online banking platforms.

· Identify opportunities to improve treasury workflows, controls, automation, and reporting.

· Support implementation or enhancement of banking structures, payment solutions, and treasury system functionality.

Cross-Functional Global Collaboration

· Work closely with Accounting, Tax, Legal, Compliance, AP, Payroll, and FP A teams to support U.S. treasury needs.

· Coordinate with global Treasury colleagues to ensure alignment with global standards and best practices.

· Provide U.S. treasury and market insights to support global treasury initiatives and projects.

· Lead and support ad-hoc treasury initiatives, including capital markets activities, TMS implementations, cash pooling structures, and other non-routine or time-sensitive projects.

Basic Qualifications

· Bachelor’s degree and 3+ years of total experience

· Experience in multinational organizations; technology, ecommerce, or retail background preferred

· Strong knowledge of U.S. banking systems, payment rails, cash management practices, and market conventions.

· Demonstrated experience operating within SOX-controlled environments, including documentation, testing support, and audit interaction.

· Experience across payments execution, cash management, forecasting, bank account management, funding, and FX settlements.

· Proficiency with Treasury Management Systems (TMS), ERP-integrated treasury processes, and online banking platforms.

· Fluent in English with strong written and verbal communication skills.

· Ability to work independently, manage competing priorities, and execute with a high level of accuracy and accountability.

Preferred Qualifications

· Bachelor’s degree in Finance, Accounting, Economics, or related field.

· 5 years of hands-on treasury operations experience, preferably within a high-growth tech, multinational or complex corporate environment.

· Detail-oriented, execution-driven treasury professional with a strong control mindset.

· Comfortable operating in a regulated, SOX-compliant environmen

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