This role will be based out of our Dallas, TX or Raleigh, NC offices. Visa Sponsorship will not be provided at this time.
About the role:
The Treasury Manager is responsible for overseeing treasury operations for our hedge fund and alternative investment clients, with a primary focus on collateral management, cash management, settlement oversight, and client service delivery. This role serves as a key point of contact for clients, counterparties, custodians, prime brokers, and internal teams to ensure the timely and accurate execution of treasury-related activities.
Role Responsibilities:
- Manage and approve cash movements, wire transfers, payment processing, and settlement activities while ensuring adherence to internal controls and client authorization procedures.
- Coordinate with banking partners, custodians, prime brokers, and counterparties to support treasury operations and resolve cash and settlement issues.
- Investigate and resolve reconciliation breaks, settlement exceptions, and operational discrepancies.
- Serve as the primary escalation point for treasury-related client inquiries, operational issues, and service concerns.
- Build and maintain strong relationships with hedge fund managers, operations teams, counterparties, and service providers.
- Ensure treasury and collateral management processes remain compliant with regulatory requirements and client governing documentation.
- Mentor and provide oversight to team members.
- Review and approve team deliverables to ensure accuracy, completeness, and timely execution.
Role Requirements
- Bachelor's degree in Finance, Accounting, Economics, Business Administration, or a related discipline.
- 7+ years of experience in treasury operations, collateral management, fund administration, prime brokerage, hedge fund operations, or a related financial services environment.
- Strong knowledge of derivatives, repurchase agreements (Repo), securities financing transactions, and collateral management practices.
- Experience working with legal documentation, including:
- Credit Support Annexes (CSA)
- Master Repurchase Agreements (MRA)
- Master Securities Forward Transaction Agreements (MSFTA)
- Clearing agreements and related account documentation
- Demonstrated understanding of treasury management principles, including cash management, and settlement operations.
- Experience interacting directly with hedge fund clients, counterparties, custodians, and senior stakeholders.
- Advanced Microsoft Excel skills, including data analysis, reconciliation, reporting, and process automation capabilities.
- Prior experience in a manager/leadership role
- Self-motivated professional with strong leadership skills and a client-focused approach.
- Excellent written and verbal communication skills, with the ability to communicate effectively with both technical and non-technical stakeholders.
Treasury Manager in dallas at Unknown Company
This position is listed as full time and onsite.