Coda SearchStaffing
Senior Manager of Corp Finance & Treasury @ Global 60B+ Real Estate Firm (New Yo
Coda SearchStaffing, New York, New York, United States, 10261
A client of ours is a Top Tier Real Estate Firm that has a high-impact leadership opportunity. They have approximately $60B+ AUM, with a market cap of >125B, they are undergoing a transformative growth phase globally expanding from 500 to over 800 employees in last couple years. Following a record-breaking year of $+20B in transaction activity.
Theyve opened a newly created role due to growth are seeking a Senior Manager of Treasury (Corporate Finance Team), this role reports to Head of the team. This professional will be help drive Finance Treasury Operations throughout the whole business working with all business lines.
Responsibilities: Support system integration & implementation for the treasury functions transition to a streamlined, integrated banking architecture. Lead cross-functional efforts to ensure the seamless migration of processes into new, end-to-end treasury and ERP platforms. Oversee day-to-day asset level liquidity management and cash positioning for a massive portfolio of holdings. Ensure precise account reconciliation and compliance with internal controls and regulatory frameworks. Design and implement sophisticated bank account structures to optimize cash visibility and flow, balancing the diverse needs of third-party partners with corporate efficiency goals. Lead initiatives that enhance scalability, accuracy, and automation within a high-intensity investment environment. Serve as a strategic stakeholder management key liaison between Finance, Accounting, Legal, and IT departments to align treasury objectives with broader enterprise growth targets. Develop and monitor robust risk mitigation frameworks to mitigate cybersecurity, liquidity, interest rate, and counterparty risks across the global portfolio. Proactively identify risks and improvement opportunities, and then serve as an advisor to senior leadership address those concerns Support cross-functional teams in developing relevant financial metrics to tightly track progress and performance across the company's operations Perform recommendation-oriented analysis on the strategic, operational, and financial impacts of managerial actions, summarizing information in a format that effectively communicates outcomes/scenarios to management
Requirements/Qualifications : Bachelor's degree in Finance, Accounting or Economics needed; MBA, Master's, or CPA is a plus 5-10 years experience in Treasury Finance Management, with Banking accounting and treasury operations High proficiency in Excel - building financial and decision support models Real Estate Asset/Property Level is a must Analytical, strategic thinking and detail-oriented Ability to Travel
This position has a total compensation package that includes 140-175K Base Salary + Bonus + Stock.
Theyve opened a newly created role due to growth are seeking a Senior Manager of Treasury (Corporate Finance Team), this role reports to Head of the team. This professional will be help drive Finance Treasury Operations throughout the whole business working with all business lines.
Responsibilities: Support system integration & implementation for the treasury functions transition to a streamlined, integrated banking architecture. Lead cross-functional efforts to ensure the seamless migration of processes into new, end-to-end treasury and ERP platforms. Oversee day-to-day asset level liquidity management and cash positioning for a massive portfolio of holdings. Ensure precise account reconciliation and compliance with internal controls and regulatory frameworks. Design and implement sophisticated bank account structures to optimize cash visibility and flow, balancing the diverse needs of third-party partners with corporate efficiency goals. Lead initiatives that enhance scalability, accuracy, and automation within a high-intensity investment environment. Serve as a strategic stakeholder management key liaison between Finance, Accounting, Legal, and IT departments to align treasury objectives with broader enterprise growth targets. Develop and monitor robust risk mitigation frameworks to mitigate cybersecurity, liquidity, interest rate, and counterparty risks across the global portfolio. Proactively identify risks and improvement opportunities, and then serve as an advisor to senior leadership address those concerns Support cross-functional teams in developing relevant financial metrics to tightly track progress and performance across the company's operations Perform recommendation-oriented analysis on the strategic, operational, and financial impacts of managerial actions, summarizing information in a format that effectively communicates outcomes/scenarios to management
Requirements/Qualifications : Bachelor's degree in Finance, Accounting or Economics needed; MBA, Master's, or CPA is a plus 5-10 years experience in Treasury Finance Management, with Banking accounting and treasury operations High proficiency in Excel - building financial and decision support models Real Estate Asset/Property Level is a must Analytical, strategic thinking and detail-oriented Ability to Travel
This position has a total compensation package that includes 140-175K Base Salary + Bonus + Stock.