What are the responsibilities and job description for the Treasury and Fund Mgt. Analyst position at The Talance Group, LP?
- Location: Houston, TX 77042 - United States
- Job #: 11213
- Job Type: FA Direct Hire
Treasury and Fund Management Analyst
10% bonus
- PE upstream company
- Bonus has paid out every year at target(except for 2020-covid)
- Hybrid schedule – 3 days in office and work 1/2 day on Fri.
- Excellent Work Life Balance
- Everyone works Four 9 hr days and 1/2 day Fridays
- Flex hrs – start time 6-8:30am
- 100% paid benefits for family paid DT parking or buss pass
- 401K match – $1 for $1 up to 5%
- Unlimited sick time
- Excellent culture, great reputation in the industry and beautiful offices
Responsibilities:
- Responsible for reviewing and reporting the daily cash position.
- Update short-term cash projections and ensure accounts are adequately funded daily.
- Initiate wire & book transfers for 25 cash accounts and record cash entries into the general ledger and maintain wire and cash transfer logs.
- Primary contact for banking administrative communications.
- Reconcile and agree to hedge settlement contracts in online system for payment or receipts
- Prepare and post supporting details for capital calls, distributions, and capital statements for 7 entities.
Requirements:
3 plus years of treasury experience.
Excel skills
3 plus years of treasury experience.
Excel skills