- Our client is a Boston based Alternative Investment Manager currently seeking to add a talented Treasury Finance Analyst to their growing Accounting and Finance Team, this position will straddle both Accounting and Finance responsibilities.
- Ideal candidate must be confident with both the Corporate Finance/ Treasury Finance and Liquidity Operations including but not limited to the following
Responsibilities
- Assist in preparing monthly journal entries/cash accruals and wire transfers
- Perform in-depth financial analysis of corporate treasury entities through balance sheets reconciliation, income statement review, and cash flow evaluation
- Processed weekly wire instructions across capital calls, subscriptions, and ad hoc client requests
- Maintain and reconcile accounts receivable and accounts payable sub ledgers
- Responsible for reporting and culminating cash reconciliations and analyzing breaks
- Perform daily general ledger functions such as cash account reconciliation
- Prepare daily cash reconciliation / P&L reporting
- Perform financial statement preparation, cash and position reconciliations, entering income/expense accruals, preparing capital allocation schedules, and sending investor correspondence regarding account balances
- Produce investor reporting requests including capital calls, distributions, and fund reporting
- Collaborate with CFO/Controller on preparation of firm reporting and intracompany reconciliation process
- Work with our tax department to provide information required in connection with various tax return filings
- Qualifications
- Bachelor’s Degree with 1+ years of Financial Services industry experience
- Outstanding communication skills, proven ability to effectively work with all levels of Management
- Technical skills; Advanced Excel or similar
- Comfortable working in a fast-paced, deadline driven dynamic environment
- Innovative and creative thinker
- Must be detail oriented
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Treasury Finance Analyst (Capital Markets)
Coda Search│Staffing
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