Experienced Treasury Analysts will find a remote contract opportunity within a fractional advisor network, focusing on providing strategic project-based support across cash management, collateral optimization, reconciliation, NAV oversight, and treasury reporting functions for clients in the alternative investment industry. Key responsibilities Design and implement treasury operations frameworks for cash management and collateral optimization Develop and standardize reconciliation processes to ensure accurate financial records Create and maintain monitoring systems for NAV oversight and collateral management Required qualifications 3+ years of experience in Alternative Asset Management, Hedge Fund Middle Office, or related fields Proficient in Excel, including pivot tables, vlookups, and macros Basic understanding of fixed income products, cash, and OTC derivatives Detailed knowledge of P&L components across various security types Familiarity with Aladdin, Charles River, or Bloomberg AIM is a plus