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Apollo is a high-growth, global alternative asset manager. In our asset management business, we seek to provide our clients excess return at every point along the risk-reward spectrum from investment grade to private equity with a focus on three investing strategies: yield, hybrid, and equity. For more than three decades, our investing expertise across our fully integrated platform has served the financial return needs of our clients and provided businesses with innovative capital solutions for growth. Through Athene, our retirement services business, we specialize in helping clients achieve financial security by providing a suite of retirement savings products and acting as a solutions provider to institutions. Our patient, creative, and knowledgeable approach to investing aligns our clients, businesses we invest in, our employees, and the communities we impact, to expand opportunity and achieve positive outcomes. Come to Apollo and join a community of extraordinary people who are committed to a culture of excellence and collaboration in everything that we do. We invest in our people for the long term and are committed to supporting their development at every stage of their career. We are seeking a motivated finance professional to join the Asset Management Treasury function which is part of broader Group Treasury and Finance Organization. Our team is responsible for the financial modeling, budgeting, forecasting, Senior Management reporting, and rating agency strategy and communications related to the firm's liquidity position, balance sheet, cash sources and uses, capital structure, and debt capacity. This role is structured to provide exposure across all fields of Asset Management Treasury and build an extensive knowledge of Apollo's businesses and the alternative asset management industry.