Treasury Specialist

Brookfield Asset ManagementCharleston, SC
Onsite

About The Position

The Treasury Specialist is responsible for overseeing the timely handling, processing, and reconciliation of cash receipts and disbursements. This position supports corporate and fund-level treasury operations and contributes to maintaining strong financial controls, liquidity visibility, and banking relationships. The role requires analytical decision-making, ownership of processes, strong attention to detail, and proactive identification of operational improvements in partnership with the Treasury team.

Requirements

  • Bachelor’s degree in accounting, business, management, or finance
  • Attention to detail to efficiently allocate your resources to achieve thoroughness and accuracy while accomplishing tasks
  • Analytical skills including critical thinking, data analysis, research, and communication to identify and solve complex problems with the best possible solution
  • Organization skills to maintain an orderly workspace, meet deadlines, and communicate well with others in the organization
  • Able to work independently and think through problems with a more creative solution approach without supervision
  • Thorough knowledge of Excel to solve common as well as unusual work problems

Nice To Haves

  • Treasury experience a plus, not required

Responsibilities

  • Execute and oversee daily treasury operations, including initiation and verification of wire transfers for earnest money deposits and acquisition-related closings in accordance with internal controls and fraud-prevention protocols
  • Administer cash receipt activities across corporate and fund-level bank accounts, including processing returned items, miscellaneous deposits, and exception handling
  • Develop and refine cash forecasting models to support liquidity planning and identify short-term funding risks
  • Assist with bank account management, including account openings, closings, maintenance, and user access administration across banking platforms
  • Partner with Corporate and Fund Accounting teams to resolve discrepancies and support cash application and reconciliation activities
  • Maintain banking relationships by supporting service optimization, issue resolution, and coordination with financial institutions
  • Ensure adherence to applicable federal, state, and local regulations
  • Maintain required documentation and reporting standards
  • Identify and escalate compliance risks as appropriate
  • Enforce internal controls related to wire processing, vendor setup, and treasury operations
  • Monitor cash balances and support liquidity management through accurate forecasting
  • Support budget adherence and cost controls related to treasury and banking activities
  • Ensure accuracy and timeliness of cash application, reconciliations, and transaction processing
  • Collaborate cross-functionally with Corporate Accounting, Fund Accounting, and other operational teams
  • Support process improvement initiatives to enhance efficiency and reduce operational risk
  • Promote company values and professional standards in all interactions
  • Oversee vendor setup within the accounting system, ensuring compliance with internal controls and proper documentation
  • Manage corporate credit card program, including relationship oversight with American Express, card issuance, payments, and risk monitoring
  • Administer processes related to credit card policy compliance, including late-fee reimbursement procedures
  • Lead cashier’s check requests with financial institutions and ensure timely fulfillment
  • Contribute to treasury policy development, documentation, and continuous improvement initiatives
  • Perform ad hoc analyses, audits, and special projects as assigned
  • Perform other duties as assigned to support business objectives

Benefits

  • 5% 401(k) match
  • Wellness credits that reduce healthcare costs
  • Up to 160 hours of PTO annually for full-time employees
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