Treasury Associate

PagayaNew York, NY
5d$120,000 - $140,000

About The Position

Pagaya is seeking a Treasury Associate to join our growing Treasury team in New York. This role will focus on supporting the firm’s Investment Vehicles and Funds platform, including Forward Flow agreements, ABS transactions, capital allocations, and investment fund operations. The individual will play a key role in day-to-day treasury operations, cash management, and securitization execution, while partnering closely with teams across Finance, Capital Markets, and Partnerships. Over time, this role will expand to include broader Corporate Treasury responsibilities, with opportunities to contribute across liquidity management, forecasting, and financing activities. This is a hands-on role suited for a candidate with strong attention to detail, analytical capabilities, and interest in structured finance, treasury operations, and financial infrastructure within a fast-paced fintech environment.

Requirements

  • 3+ years in Treasury, structured finance, fund operations, or financial operations
  • Experience in financial services, fintech, or asset management
  • Strong analytical skills and attention to detail (SQL experience mandatory)
  • Advanced Excel; experience with large datasets
  • Bachelor’s degree in a relevant field

Nice To Haves

  • Experience with ABS / securitizations or structured finance
  • Exposure to credit, funds, or fixed income
  • Familiarity with cash management and treasury processes
  • Ability to review legal/transaction documents
  • Python experience

Responsibilities

  • Support and lead treasury initiatives and cross-functional projects
  • Prepare weekly cash forecasts, liquidity plans, and borrowing models; analyze and resolve variances
  • Improve processes, controls, and treasury best practices
  • Partner with Finance, Capital Markets, and Partnerships
  • Manage securitization and funding operations across ABS and Forward Flow structures
  • Execute cash management strategy, including daily cash positioning
  • Perform reconciliations and resolve discrepancies
  • Support reporting, waterfall analysis, and P&L review
  • Conduct compliance testing and calculations
  • Interface with external parties (originators, servicers, investors, custodians, rating agencies)
  • Support partner, lender, and investment fund operations
  • Perform data analysis and reporting to support treasury and funding decisions
  • Identify and implement automation and process improvements
  • Support broader liquidity management and financing activities
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