Location
Boston, MA
Salary
Not specified
Type
fulltime
Posted
Today
via linkedin
Job Description
Position Overview
A publicly traded alternative asset manager focused on venture lending is seeking a Treasury Analyst to support core treasury operations across multiple legal entities. This role covers treasury finance, liquidity management and cash forecasting within a fast-paced, operationally complex environment.
What You'll Do
- Manage daily cash positions, liquidity monitoring, and cash flow forecasting
- Partner with FP\&A to maintain cash and debt forecasting models
- Prepare and maintain debt compliance reporting including borrowing bases, waterfall calculations, covenant compliance reporting, and lender deliverables
- Support SEC reporting including 10-K and 10-Q schedule preparation and quarterly management presentations
- Oversee payment operations including wire processing, AP coordination, and audit documentation
- Maintain banking infrastructure including account records, user access, and KYC requirements for new and existing banking relationships
- Identify opportunities to streamline and automate recurring treasury processes using advanced Excel and AI productivity tools
- Support capital activity including drawdowns, distributions, and fund-level allocations
Qualifications
- Bachelor's Degree in Accounting or Finance
- 2-4 years of experience in treasury finance or corporate finance
- Exposure to structured debt, credit facilities, or leveraged finance preferred
- Advanced Excel skills required
- Familiarity with AI productivity tools, treasury management systems, or loan management platforms is a plus
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