Sr. Treasury Manager, Investments
SpaceX - Hawthorne, CA
Posted May 19, 2026
Benefits
- Parental leave
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- Non-birth-parent leave
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- Family-building benefits
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- Fertility benefits: Not verified
- Adoption assistance: Not verified
- Surrogacy assistance: Not verified
- Mental health support
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- Relocation assistance
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- Childcare support
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- Learning budget
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- Salary
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- 401(k) match
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Schedule
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- Weekend work
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Application
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- Assessment
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- Deadline
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Where they hire
State eligibility is not yet verified.
About this role
Sr. Treasury Manager, Investments Hawthorne, CA SpaceX was founded under the belief that a future where humanity is out exploring the stars is fundamentally more exciting than one where we are not. Today SpaceX is actively developing the technologies to make this possible, with the ultimate goal of enabling human life on Mars. SR. TREASURY MANAGER. INVESTMENTS SpaceX is seeking a Senior Treasury Manager with 10+ years of experience to join our Treasury team. This role will focus on managing corporate cash balances and investments, and is critical to optimizing our balance sheet liquidity, ensuring robust cash management practices, and driving fixed income strategies to support corporate objectives. The ideal candidate will have a strong background in corporate treasury, with expertise in fixed income securities, cash forecasting, and risk management. This position reports directly to the Treasury Director and is based in Hawthorne, CA. RESPONSIBILITIES: - Manage SpaceX's investable cash, focusing on fixed income securities (e.g., U.S. Treasuries, corporate bonds, and money market instruments) to maximize risk-adjusted returns while prioritizing strong liquidity and capital preservation. - Analyze market trends in fixed income and cash equivalents to inform investment decisions and balance sheet strategies. - Collaborate with finance, accounting, and tax teams to support M&A activities, debt issuance, working capital management, and liquidity planning. - Identify, monitor, and mitigate treasury risks, including interest rate, liquidity, and credit risks associated with cash and investments. - Develop, implement, and maintain treasury policies, procedures, and controls to ensure compliance with regulatory reporting requirements and
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