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We are seeking a Treasury Manager with asset management experience to oversee daily treasury operations, banking relationships, and financial reporting. This role will play a critical part in cash management, bank reporting, NAV testing support, and process optimization, with a strong emphasis on advanced Excel skills and cross-functional collaboration with accounting, fund administration, and investment teams.
Job Responsibility:
Manage daily treasury operations, including cash positioning, liquidity management, and forecasting
Oversee and maintain banking relationships, including account management, fee reviews, credit facilities, and service optimization
Prepare, review, and analyze bank reporting, cash reports, and treasury-related schedules
Support and perform NAV testing, including cash, bank balances, and related reconciliations in coordination with fund accounting and external administrators
Review and approve wire transfers, ACH transactions, and other treasury disbursements, ensuring adherence to internal controls
Develop and maintain complex Excel models for cash flow analysis, forecasting, reconciliations, and management reporting
Partner with accounting and finance teams on month-end and quarter-end close processes related to cash and treasury activities
Assist with treasury policies, procedures, and internal control documentation
Support audits, regulatory requests, and ad-hoc reporting related to treasury and cash management
Identify opportunities to improve treasury processes, automation, and reporting efficiency
Requirements:
Bachelor’s degree in Finance, Accounting, Economics, or related field
5+ years of treasury, cash management, or finance experience, preferably within asset management, investment management, or financial services
Hands-on experience with NAV testing and working closely with fund administrators
Strong experience with bank reporting, reconciliations, and cash controls
Proven ability to manage bank relationships and interact with external financial institutions