Senior Associate, Treasury

BKM Capital PartnersNewport Beach, CA
Onsite

About The Position

BKM Capital Partners is seeking a driven, entrepreneurial Senior Associate, Treasury with previous experience in corporate financial management to join our growing firm. This role is based in our Newport Beach, California office and will be integral to maintaining positive relationships with banks and financial institutions. Reporting directly to the Senior Manager, Corporate Accounting & Treasury, the Senior Associate, Treasury will be responsible for corporate liquidity, fund liquidity, and risk management related to the company's financial activities. This position is 100% in-office due to the collaborative nature of our business.

Requirements

  • 5+ years of progressive finance, accounting and treasury experience.
  • 3+ years’ experience in treasury supervisory position.
  • Bachelor’s Degree in Accounting, Finance, Economics or equivalent experience.
  • Advanced knowledge of Microsoft Excel.
  • Strong organizational, problem solving, and communication skills required.
  • Ability to prioritize, work independently and meet multiple deadlines in a fast-paced environment is a must.
  • Excellent Microsoft Word and Excel skills.
  • The ability to comprehend complex financial structures.
  • Strong analytical and problem-solving skills.
  • Excellent written and nonverbal communication skills with the ability to communicate technical accounting information to a cross section of audiences.
  • A collaborative, nimble, responsive, and team-orientated work style.
  • Excellent organizational, problem solving, and planning skills.
  • The discipline and ability to adhere to strict deadlines.
  • Maintain good communication with supervisor and team members.
  • Positive attitude.

Nice To Haves

  • Certified Cash Manager designation (CMM) from the Treasury Management Association (TMA) desired.

Responsibilities

  • Manage accuracy of daily cash position reporting and liquidity analysis.
  • Collaborate with Acquisitions team on cash needs relating to acquisitions, refinancing activities and dispositions.
  • Assist with liquidity management, ensuring sufficient funds are available to meet ongoing operational and capital investment requirements.
  • Collaborate with Accounting and Asset Management on an efficient loan draw process to ensure timely funding of capital improvements.
  • Monitor company-wide risk exposure to financial institutions.
  • Lead Treasury initiatives to optimize working capital in the company as it relates to A/R, A/P, inventory and settlement flows.
  • Assist with bank account administration (user setup, audits, etc.).
  • Assist with banking file integration into the Company's IT systems.
  • Entire wire and ACH payments.
  • Maintain a strong fiduciary responsibility to the company and Funds.
  • Enhance and/or develop, implement and enforce policies and procedures of the organization by way of systems that will improve the overall operation and effectiveness of the company.
  • Keep company executives fully informed on all problems and matters of unusual significance ensuring proactive action is taken when appropriate.
  • Lead, develop and mentor a team of Treasury professionals.
  • Hands-on management and development of accounting staff.
  • Demonstrate the highest ethical standards.
  • Ability to manage and thrive in an environment with teams in multiple locations that are separated geographically.
  • Capable of simultaneously completing all necessary requirements and improving every day.
  • Good professional and personal judgment.
  • The discipline and ability to adhere to strict deadlines.
  • Excellent organizational and problem-solving skills.

Benefits

  • Competitive Pay + Bonus Incentive
  • Medical, Dental, Vision and Life Insurance
  • Paid Time Off
  • 401k Plan
  • Professional Development Resources
  • Fun Work Vibe (Indoor basketball/gym, creative office environment to name a few…)
© 2026 Teal Labs, Inc
Privacy PolicyTerms of Service