Treasury Analyst: ABS, Forward Flow & Funds
$110k - $140kPagaya Investments
Pagaya Investments is seeking a Treasury Associate to support treasury operations in New York. Responsibilities include cash management, supporting ABS transactions, and collaborating with finance teams. The ideal candidate has 3+ years of experience in financial operations and advanced skills in SQL and Excel. Pagaya offers a salary range of $110,000 - $140,000 along with opportunities for professional growth. #J-18808-Ljbffr Pagaya Investments
- A global law firm is seeking a Treasury Analyst to support its Treasury operations in New York City. This role involves daily cash management, maintaining cash flow forecasts, and ensuring compliance with internal controls. The ideal candidate should hold a Bachelor's degree...SuggestedWork at office
$85k - $120k
Goldman Sachs Bank AG in New York is seeking an Analyst for the Corporate Treasury team, focusing on funding and capital planning. This role requires strong quantitative analysis skills and teamwork to manage the firm's financial resources. Key responsibilities include...Suggested$85k - $120k
...corporations, financial institutions, governments and individuals. About Our Roles In Corporate Treasury We’re a team of specialists charged with managing the firm’s funding, liquidity, capital and relationships with creditors and regulators. Corporate Treasury manages...SuggestedFull timeTemporary workPart time$130k - $150k
...behalf of our client, a technology-forward annuity carrier that grew from... ...You'll join a three-person treasury team reporting directly to the... ...the Treasurer and Senior Analyst Process and monitor cash transactions... ...activity Prepare cash flow forecasts and variance analysis...SuggestedContract workWork at officeRemote workMonday to FridayMonday to Thursday$67.59k - $81.11k
...registry. Job Summary IPG is seeking a Corporate Treasury Analyst. The Corporate Treasury Analyst is responsible... ...and maintain short-term and long-term cash flow forecasts, including analysis of trends, variances, and funding needs. Support daily treasury operations, including...SuggestedTemporary workWork at officeFlexible hours- Overview The Senior Treasury Analyst will partner closely with the Treasurer to build and scale Baldor... ...Monitor cash movements (wires, ACH, funding, lockbox, credit card settlements)... ...closing, documentation, user access) Cash Flow Forecasting Support development of long...Temporary work
$65k - $75k
Role Purpose The Treasury Analyst will support day-to-day Treasury operations while developing expertise... ...Assist with short- and medium-term cash flow forecasting and liquidity monitoring... ...pooling structures and intercompany funding activity Support Letters of Credit issuance...Temporary workLocal area- Internova, located in New York, NY, is seeking a Senior Treasury Analyst to manage liquidity and cash forecasting in the Corporate Treasury department. The role focuses on cash positioning and works within a hybrid schedule. This position offers a clear path for career...
$30 - $33.72 per hour
...$33.72/hr Immediate need for a talented Treasury Analyst . This is a 06+ Months Contract opportunity... ...requests. Manage and improve cash flow projection models to forecast daily cash... ..., and maintain credit analysis for self-funded groups and financial partners. Administer...Contract workLocal areaImmediate startRemote work- Affirm is looking for a Capital Operations Analyst to join their Treasury team, focused on capital management and funding operations within a rapidly growing FinTech company... ...-time operational issues, managing loan cash flows, and improving reporting systems. The ideal...Remote work
$150k - $180k
...Asset Backed Securities (ABS) team as a Director. The... ...to be a lead coverage analyst in a growing and dynamic... ...; Passion for cash flow modeling and loss forecasting... ...we provide have helped fund a century of growth and... ...timely, independent and forward-looking credit opinions....Work experience placementLocal areaImmediate start$85k - $110k
Join to apply for the Treasury & Finance Analyst role at Redwood Trust, Inc. This range is provided by... ...helping to manage Redwood’s liquidity, funding and financing operations while... ...Assist with financial modeling, cash flow projections and transaction analyses related...Full timeInternshipWork at office$140k - $185k
...annual compensation (varies by employer) Position Overview The Fund Controller is responsible for overseeing the financial management... ...regulatory standards Manage capital calls, distributions, and fund cash flows Coordinate annual audits and liaise with external auditors...Full time$100k - $185k
...Fund Accounting Manager – Global Fund Finance Blackstone’s Global Fund Finance team is seeking a Fund Accounting Manager to join the team... ...setup and launch of new product offerings and funds Review cash‑flow analysis reporting to support the investment process Review...Work at officeLocal area- Independence Pet Group is looking for a Corporate Treasury Analyst to support its treasury function, ensuring liquidity and effective management... ...include monitoring daily cash positions, preparing cash flow forecasts, and supporting banking relationships. A Bachelor's...
$76.5k
...driven automation, we’ve reimagined how loans are originated, funded, and traded in secondary markets. From faster processing... ...the Role We’re looking for a self‑motivated and curious Analyst to support our Treasury and Financial Operations across a complex, multi‑entity...Temporary work$90k - $120k
Confidential Company, located in New York, NY, is seeking an Analyst to join its Cash Management & Treasury Operations team. This role offers the opportunity to... ...related fields such as Treasury, Cash Management, or Fund Operations. Compensation ranges from $90,000 to $120,0...- ...operate a unique business model: in addition to offering Equi-branded funds, we build white label fund of funds products for some of the top... ..., and operational infrastructure Source proprietary deal flow through industry relationships and systematic market mapping Develop...Work at office
- ...information, visit DailyPay's Press Center. The Role: As Senior Treasury Analyst, you will support the DailyPay Treasury team in managing daily... .... Partner with FP&A to develop robust operating cash flow forecasts and enhance global cash transparency. Drive scalability...Temporary work
- A financial technology company based in New York is looking for a Senior Treasury Analyst to manage daily cash positions and enhance cash flow forecasts. This role involves collaborating with various departments to improve processes and ensuring compliance with treasury...
- Balyasny Asset Management L.P. is seeking an Associate for their Treasury department in New York. The successful candidate will monitor fund liquidity, improve reporting systems, and collaborate with Prime Brokers. This role requires over 4 years of experience in Treasury...
- ...across the U.S. We specialize in fast approvals, efficient cash flow support, and innovative tools that drive growth. As part of... ...help small businesses achieve their goals! Role Overview The Treasury Analyst is part of the Treasury Operations team, responsible for cash...Remote jobWork at office
- ...valuable resource, and we only grow by hiring people who push us forward. Across strategy, engineering, design, data, and operations, we... ...concentration of technological power are creating conditions that most funds are ill-equipped to navigate. We are building one that is....Full timeFor contractorsRemote workShift work
- Overview Position: Treasury Management Analyst (2+ year) Location: Remote Employment Type: Contract The role is a detail-oriented and motivated... ...understanding of banking operations, ACH/wire processes, and cash flow management. Proficiency in NetSuite and JPM Access...Contract workRemote work
- A leading financial institution is seeking an experienced Fund of Funds Controller in New York to oversee financial management, accounting... ...process, prepare financial packages, and coordinate data flow. Applicants must have at least 7 years of relevant hedge fund experience...
- Overview Fund Accounting & Financial Reporting/Management Company Accounting & Reporting Oversee the preparation... ...policies, and procedures Prepare and manage cash flow, capital call and distribution processes Oversee treasury, cash management, and banking relationships for...
- # Private Equity Fund ControllerConnectMe CapitalAssociatePrivate EquityFull-timeLocationNew York, United StatesDate PostedMay 25, 20... ...- Monitoring how deal activity impacts accounting and reporting flows across the firm- Supporting KPI tracking and business performance...Work at office
$130k - $155k
Job Overview - Fund Accounting Manager (Private Equity) Compensation: $130,000 - $155,000/year + bonus Location: Westchester County,... ...experience, advanced technical accounting skills, and a technology-forward mindset with experience leveraging accounting systems and...Monday to Friday$132k - $178k
...the firm’s liquidity to ensure sufficient funds for operational needs and strategic... ...develop and augment finance tools. Lead Treasury infrastructure, being an SME in database,... ...32,000 USD and $178,000 USD for a Senior Analyst level in New York City and San Francisco...Local area- Responsibilities The role involves a range of treasury operations for the Funds, such as processing wire transfers for investments, transferring funds between legal entities within complex fund structures, and settling foreign exchange transactions, margin calls, and swaps...Overseas
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