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Details
  • Location: New York NY
  • Type: Contract
  • Job #23320

Company Overview:
A leading global alternative investment manager with a $50 billion portfolio specializing in credit and infrastructure investing is seeking a consultant to assist with a treasury project and transition.

Job Responsibilities:

  • Monitor and optimize daily cash positions for various investment funds.
  • Work closely with portfolio managers, trading desks, and investment teams to forecast liquidity needs.
  • Oversee cash movements, fund flows, and subscription/redemption processes for pooled investment vehicles.
  • Manage credit lines, repurchase agreements, securities lending, and prime brokerage arrangements.
  • Work with banking partners to assess borrowing capacity and credit facilities.
  • Oversee foreign exchange exposure for international funds by implementing hedging strategies.
  • Act as the primary liaison with custodians, fund administrators, and transfer agents.
  • Ensure compliance with local and global regulatory requirements.
  • Lead process improvements by leveraging automation and treasury management systems.

Qualifications:

  • 5-18 years of experience within treasury.
  • Understanding of liquidity and data management.
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