Summary
The reports into the Controller & COO, and will handle all treasury and cash management related work for the firm, and partner closely with the Founder on a regular basis. Looking for someone who is extremely organized and detail oriented, and looking an environment where they can take on a lot of responsibility and grow with the firm!
Company Information:
• Boutique PE/RE Firm
• HQ in NYC
• Back to office on hybrid work schedule
• Rapidly growing, lots of opportunity for growth and development
• Great hours!
Job Description:
• Fund is growing really quickly. Recently onboarded 3rd party fund admin, auditor partner, and has made multiple other in house hires
• Young firm culture, fully stocked fridge and snacks, lots of company events and opportunities to get involved
• Small team environment, lots of exposure to C-Suite and Founder of the firm
• Role will span treasury, cash management, responding to investor queries, ad hoc projects
• Will help to hire junior level staff to support this role
• Analyze processes and functions offering suggestions for process improvement
• Assist and/or manage special projects, as assigned
• Demonstrate strong analytical and organizational skills with a clear understanding of the cash management space and an ability to handle problems independently
Requirements / Qualifications:
• Bachelor’s Degree
• Minimum 4+ years of relevant treasury/cash management experience
• Financial services background strongly preferred
• Extremely strong attention to detail and organizational skills
• Ability to communicate with senior level executives and investors