Sr Treasury Analyst

Rialto CapitalMiami, FL
1d

About The Position

KEY RESPONSIBILITIES Lead preparation of the daily cash position reports for both Corporate and Investment Funds. Develop financial models and analytics in Excel to support a variety of treasury reports. Analyze and maintain debt and interest schedules, agreements, and related documentation. Prepare line of credit draw packages for deal fundings, as needed. Track and evaluate monthly bank service fees, identifying opportunities for savings. Initiate and process wire transfers. Maintain and manage relationships with banking partners and financial institutions. Administer bank account structures, signatories, and electronic banking platforms. Ensure compliance with treasury policies, internal controls, and audit requirements. Contributes to developing and improving treasury policies, procedures, and process automation, and ensures thorough documentation of treasury operations and controls. Monitor the Treasury email inbox, respond to inquiries and assist with inquiry resolution. Serve as support and back-up to other Treasury Operations roles, as needed. Perform ad-hoc financial analysis and other projects. SPECIFICATIONS Bachelor’s degree required in Finance, Accounting, Economics, Business Administration, or related field. Minimum of 2-4 years’ experience in Treasury (preferred), Finance or Accounting. Advanced Excel and financial modeling expertise. Treasury management systems experience a plus. Exceptional attention to detail with strong analytical and quantitative capabilities. Strong organizational, interpersonal and communication skills. Ability to manage multiple priorities and meet deadlines in a fast-paced environment. While performing the duties of this job, the Associate is occasionally required to stand; walk; sit; use hands to finger, handle, or feel objects, tools or controls; reach with hands and arms; climb stairs; balance; stoop. The Associate must occasionally lift and/or move up to 25 pounds. Evening or weekend work may be necessary to meet deadlines. This description outlines the basic tasks and requirements for the position noted. It is not a comprehensive listing of all job duties. Rialto Capital is committed to the principles of Equal Employment Opportunity. Our policy is to provide equal employment opportunity to all applicants and Associates without regard to race, color, religion, sex, pregnancy, sexual orientation, gender identity or expression, national origin, age (40+), disability, veteran status, genetic information (including family medical history), or any other legally protected status. Our company uses E-Verify to confirm the employment eligibility of all newly hired employees. To learn more about E-Verify, including your rights and responsibilities please visit: e-verify.gov. Rialto Capital is an integrated investment management and asset management platform, with a dedicated special servicer. Our mission is to be a world-class, industry leading organization that creates long term value for our investors and sustains results across market cycles. Our team of over 260 associates throughout the United States and Europe is guided by our commitment to a culture of social responsibility, inclusion & diversity, and responsible investing. Rialto Capital has made a commitment to create a high-performance culture driven by an entrepreneurial spirit and an absolute commitment to integrity, respect, inclusion and giving back to the communities in which we work and live. We have focused our vision on becoming a real estate investment, asset management, servicing and finance company most admired for its people, capabilities and performance. We are always looking for Talent within our Investment Management team. Please click on the Get Started button below to upload your resume and tell us a bit about yourself.

Requirements

  • Bachelor’s degree required in Finance, Accounting, Economics, Business Administration, or related field.
  • Minimum of 2-4 years’ experience in Treasury (preferred), Finance or Accounting.
  • Advanced Excel and financial modeling expertise.
  • Exceptional attention to detail with strong analytical and quantitative capabilities.
  • Strong organizational, interpersonal and communication skills.
  • Ability to manage multiple priorities and meet deadlines in a fast-paced environment.

Nice To Haves

  • Treasury management systems experience a plus.

Responsibilities

  • Lead preparation of the daily cash position reports for both Corporate and Investment Funds.
  • Develop financial models and analytics in Excel to support a variety of treasury reports.
  • Analyze and maintain debt and interest schedules, agreements, and related documentation.
  • Prepare line of credit draw packages for deal fundings, as needed.
  • Track and evaluate monthly bank service fees, identifying opportunities for savings.
  • Initiate and process wire transfers.
  • Maintain and manage relationships with banking partners and financial institutions.
  • Administer bank account structures, signatories, and electronic banking platforms.
  • Ensure compliance with treasury policies, internal controls, and audit requirements.
  • Contributes to developing and improving treasury policies, procedures, and process automation, and ensures thorough documentation of treasury operations and controls.
  • Monitor the Treasury email inbox, respond to inquiries and assist with inquiry resolution.
  • Serve as support and back-up to other Treasury Operations roles, as needed.
  • Perform ad-hoc financial analysis and other projects.
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