Associate-Treasury Cash Management

TrimontOverland Park, KS
2d

About The Position

Founded in 1988, Trimont (www.trimont.com) is a specialized global commercial real estate loan services provider and partner for lenders and investors seeking the infrastructure and capabilities needed to help them scale their business and make informed, effective decisions related to the deployment, management and administration of commercial real estate secured credit. As the largest master servicer of commercial real estate loans in the United States, Trimont manages securitizations with meticulous oversight and coordination—protecting cash flows, mitigating risk, and ensuring portfolio performance. We do this with a team of 1100+ extraordinary team members who serve a global client base from offices in Atlanta (headquarters), Bengaluru, Charlotte, Dallas, Hyderabad, Kansas City, London, New York and Sydney. We empower our people with advanced technology, industry-leading knowledge, and a culture centered on our core values. This approach enables our teams to deliver exceptional client service, build lasting relationships and take pride in the high-quality work they perform. Trimont is an innovative firm where visionary professionals come to learn, grow, and thrive with colleagues driven by curiosity and collaboration. Learn: We believe ongoing learning is critical and are focused on providing a work environment where all team members can take ownership of their careers. Grow: We work alongside the largest institutional lenders in the world, overseeing the most significant projects in the industry. This unique opportunity allows us to broaden our skillset and develop our abilities by tackling some of the industry's most challenging and exciting endeavors. Thrive: Our firm is a place where ethics and excellence meet to create an experience that matches our capabilities. There are no limits to what we as team members and as an organization, can achieve together. Where people, purpose, and progress come together every day. Job Summary: Associate, Treasury Cash Management includes overseeing a range of important cash management responsibilities. This position involves liaising with multiple banks and using treasury workstation applications to manage various transactions like wire transfers, Automated Clearing House transactions, book transfers, and handling foreign currencies. Moreover, the associate is accountable for maintaining records, generating reports, and providing stakeholders with account balance details. Working within a dynamic environment, the role entails managing bank account deposits while frequently operating under tight deadlines.

Requirements

  • Bachelor's degree
  • 1+ years of experience in treasury operations, with exposure to high volume transaction processing.
  • Proficiency in basic computer operations with knowledge of Microsoft Word, Outlook, and intermediate skills in Excel.
  • Strong capabilities in mathematical computations and analysis.
  • Strong verbal and written communication skills
  • Demonstrated capacity to achieve results in a dynamic setting.
  • Organizational and administrative skills that reflect attention to detail and the ability to prioritize amidst competing demands.
  • Skilled in managing sensitive information while upholding privacy.
  • Handling workload and special projects efficiently.
  • Ability to work both independently and within a team environment.

Responsibilities

  • Execute daily operations involving the processing of sweep transactions, wire transfers, and check deposits.
  • Initiate and authorize the release of vouchers, sweeps, and wire transfers through the designated banking platform.
  • Facilitate the daily retrieval of the Bank Administration Institute (BAI) file from the banking system.
  • Conduct financial transactions and generate reports utilizing both in-house and external banking software.
  • Establish and update configurations for sweep accounts and Automated Clearing House (ACH) templates.
  • Handle the processing of Strategy and Real Estate Owned (REO) checks.
  • Respond promptly to customer inquiries regarding account balances, banking activity, and wire transfer confirmations.
  • Provide support during annual audits by supplying requested information and participating in observational tests.
  • Collaborate in the testing and deployment of new company software applications.
  • Engage in specialized cash management tasks tailored to client needs.
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