About the Role :
Our client, a global alternative asset manager and top real estate fund, is seeking a Manager of Treasury Operations to join their team in New York, NY. Sitting within the Treasury and Capital Markets team, this individual will support systems and operations related to derivative and FX transactions, contributing to strategic project-based initiatives focused on FX hedging, interest rate risk, trade cost analysis, and operational optimization.
Responsibilities :
- Oversee and enhance internal reporting, analytics, and trade cost tracking across a global derivatives portfolio using tools such as Power BI and Azure.
- Drive process optimization initiatives within trading and treasury operations, ensuring data accuracy and workflow efficiency.
- Collaborate closely with traders to translate business and system requirements into practical solutions for technology partners.
- Manage all aspects of the trade lifecycle, from booking and regulatory reporting to post-trade activities such as confirmations, settlements, and counterparty documentation.
- Monitor daily exposures, liquidity positions, and counterparty risk metrics, ensuring adherence to internal risk management policies.
- Contribute to cross-functional projects focused on process automation, treasury infrastructure enhancements, and internal capital markets initiatives.
Qualifications :
Bachelor’s degree in Finance, Accounting, Economics, or Information Systems4–8 years of experience in banking, asset management, or corporate treasuryHands-on exposure to FX and interest rate derivative operations and risk reportingProficient in Bloomberg, Excel, and trading platforms such as FXall, FXGO, or 360TSkilled in data analytics and visualization tools (PowerBI, Azure, Tableau, SQL, Python)