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Altum Consulting

Treasury Manager (Private Equity)

Altum Consulting, New York, New York, us, 10261

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Treasury Manager - Private Equity Location:

New York, NY Compensation : $130,000 - $160,000 + bonus & LTIP

About the Company Altum Consulting are supporting one of the world's most renowned private equity funds, with over $400 billion aum across a diverse and global investment portfolio. The firm is known for its disciplined investment approach, strong performance track record, and commitment to professional growth of its employees.

Role Overview The

Treasury Manager

will support the wider treasury function (US and Europe based) play a critical role in managing global liquidity, forecasting cash needs, and overseeing treasury operations across a complex multi-entity structure. This position offers high visibility and the opportunity to contribute to strategic treasury initiatives that support the firm's continued growth and investment activity with the anticipated launch of new funds in 2026.

Key Responsibilities

Oversee daily liquidity and cash management, ensuring efficient movement and optimization of funds across global entities.

Develop and maintain detailed cash flow forecasts, supporting both short-term and strategic capital planning in conjunction with the operations, finance and deals teams.

Manage banking relationships and account structures, including new account openings, mandates, and authorized signatories.

Collaborate with fund finance, operations, and tax teams on capital calls, distributions, and intercompany funding activity.

Implement and enhance treasury processes, controls, and reporting frameworks to support a growing platform.

Monitor and manage FX exposure, interest rate risk, and counterparty performance.

Support system improvements and automation within the treasury management environment.

Partner with senior leadership to align treasury strategy with broader financial and investment objectives.

Qualifications & Experience

Bachelor's degree in Finance, Accounting, or Economics; CTP or MBA preferred.

4-8 years of experience in treasury, corporate finance, or fund operations, ideally within private equity, asset management, portfolio or financial services.

Deep understanding of cash management, liquidity planning, and global banking operations.

Proven experience with FX hedging and hedge accounting preferred.

Experience with treasury management systems and processes (TMS) highly valued.

Strong analytical, organizational, and interpersonal skills with an ability to manage multiple priorities in a fast-paced environment.

Reach out to George Brown on the attached details to discuss this role further.

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