Origin Staffing
Treasury Operations Manager – Leading PE firm (up to $200k+ total package)
Origin Staffing, Boston, Massachusetts, us, 02298
Treasury Operations Manager – Leading PE firm (up to $200k+ total package)
Overview: We are seeking a detail-oriented and strategic Treasury Manager to join a growing team at a top Private Equity firm. This role offers the opportunity to oversee critical treasury functions, optimize cash management processes, and collaborate cross-functionally with key stakeholders. If you have experience in treasury operations, wire transfers, and liquidity management, and want to make a meaningful impact in a fast-paced alternative investment environment, this could be the right opportunity for you. Company / Team / Position Highlights: Leading alternative investment firm:
Established and growing firm with $30B+ AUM and a strong track record of internal promotions and mentorship Work/life balance:
Position is 3/2 hybrid flex with strong healthcare, wellness, and PTO benefits Dynamic and high-impact role:
Work closely with the Operations, Finance, and Deal Teams to ensure timely fundings, capital calls, and distributions Exciting industry exposure:
Collaborate with key banking partners, investment professionals, and third-party consultants while optimizing treasury processes Broad Responsibilities: Cash & Liquidity Management:
Monitor and report daily cash balances across multiple banking platforms to ensure proper liquidity planning Wire Transfer Oversight:
Coordinate and review wire transfer packets while ensuring compliance with internal approval workflows and fraud prevention protocols Treasury Technology Leadership:
Lead the onboarding, management, and reporting functions of the treasury management system, enhancing automation and operational efficiency Banking & Capital Coordination:
Work with Finance, Investor Relations, and Tax teams on capital calls, legal wires, and banking relationships, including KYC compliance and account setup Process & Compliance Improvements:
Identify and implement efficiencies in treasury operations, optimizing controls and workflows Qualifications: Bachelor’s degree in Finance, Accounting, or a related field 8+ years of relevant experience in treasury management, banking operations, or related finance roles Proficiency in Kyriba highly desired Travel:
~10% Seniority level
Mid-Senior level Employment type
Full-time Job function
General Business and Finance Industries
Venture Capital and Private Equity Principals, Investment Management, and Financial Services
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Overview: We are seeking a detail-oriented and strategic Treasury Manager to join a growing team at a top Private Equity firm. This role offers the opportunity to oversee critical treasury functions, optimize cash management processes, and collaborate cross-functionally with key stakeholders. If you have experience in treasury operations, wire transfers, and liquidity management, and want to make a meaningful impact in a fast-paced alternative investment environment, this could be the right opportunity for you. Company / Team / Position Highlights: Leading alternative investment firm:
Established and growing firm with $30B+ AUM and a strong track record of internal promotions and mentorship Work/life balance:
Position is 3/2 hybrid flex with strong healthcare, wellness, and PTO benefits Dynamic and high-impact role:
Work closely with the Operations, Finance, and Deal Teams to ensure timely fundings, capital calls, and distributions Exciting industry exposure:
Collaborate with key banking partners, investment professionals, and third-party consultants while optimizing treasury processes Broad Responsibilities: Cash & Liquidity Management:
Monitor and report daily cash balances across multiple banking platforms to ensure proper liquidity planning Wire Transfer Oversight:
Coordinate and review wire transfer packets while ensuring compliance with internal approval workflows and fraud prevention protocols Treasury Technology Leadership:
Lead the onboarding, management, and reporting functions of the treasury management system, enhancing automation and operational efficiency Banking & Capital Coordination:
Work with Finance, Investor Relations, and Tax teams on capital calls, legal wires, and banking relationships, including KYC compliance and account setup Process & Compliance Improvements:
Identify and implement efficiencies in treasury operations, optimizing controls and workflows Qualifications: Bachelor’s degree in Finance, Accounting, or a related field 8+ years of relevant experience in treasury management, banking operations, or related finance roles Proficiency in Kyriba highly desired Travel:
~10% Seniority level
Mid-Senior level Employment type
Full-time Job function
General Business and Finance Industries
Venture Capital and Private Equity Principals, Investment Management, and Financial Services
#J-18808-Ljbffr