Treasury Manager - Private Debt

SDL Search Partners

Boston, MA

JOB DETAILS
SKILLS
Analysis Skills, Banking Services, Cash Flow, Communication Skills, Compensation and Benefits, Cross-Functional, Debt Management, Establish Priorities, Finance, Financial Modeling, Financial Planning, Financial Regulations, Financial Reporting, Financial Services, Forecasting, Foreign Exchange (FX), Investment Management, Leadership, Legal, Liquidity, Maintain Compliance, Mentoring, Operational Support, Operations, Problem Solving Skills, Regulatory Compliance, Regulatory Reports, Relationship Management, Risk Management, Tax Accounting, Treasury, Treasury Management
LOCATION
Boston, MA
POSTED
Today

About the job Treasury Manager - Private Debt

Treasury Manager - Private Debt

Highly reputable Investment Management firm headquartered in Boston, MA is currently hiring for a Treasury Manager under their Private Debt Finance Organization. Eligible candidates will have 5+ years of experience within Financial Services Treasury, ideally with CLO experience.

This is a great role for an individual looking to gain complex, global company experience within a team that prioritizes Professional Development, Promotion & Growth Tracks, and opportunities for leadership.

Compensation & Benefits:

  • Above market base pay
  • + bonus
  • + profit sharing
  • + Health / Dental / Vision
  • + 401k match
  • + Company perks / discounts
  • + Opportunities for promotion, growth, & professional development
Responsibilities:
  • Directly responsible for management / reporting for specific financing arrangements for the firm's debt organization
  • Provide ongoing status updates for transactions and proactively work with banks and other financial institutions to confirm transaction settlement
  • Coordinate directly with the firm's Portfolio Management team for required reporting, and for any specific transactions
  • Responsible for management, supervision, and mentorship of a small team
  • Work as an adaptable teammate who proactively assists with operational workload rebalancing and high-priority items and collaborates with colleagues
  • Optimize the company's cash and liquidity position to support daily operations and growth initiatives, including intercompany capital requirements
  • Responsible for managing relationships with foreign banking partners, globally
  • Assist with foreign exchange risk management and ensure regulatory compliance
  • Provide valuable input and oversight to the company's cash flow forecasts and financial models, contributing to accurate financial planning and decision-making.
  • Work with cross-functional teams, such as accounting, tax, and legal, to ensure compliance with relevant financial regulations and reporting standards.
  • Ad hoc projects as they arise
Requirements:
  • 5+ years of Treasury experience within an Investment Manager
  • Experience with Private Debt / Private Credit / CLO is preferred
  • Global company experience highly preferred
  • Strong communication
  • Analytical, logical, methodical and intellectually curious
  • Interest in growth, promotion, and professional development
  • Problem solving and issues resolution management

About the Company

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SDL Search Partners