Treasury Associate - Private Debt (12-month FTC)

Aria Partners

England

On-site

GBP 50,000 - 70,000

Full time

14 days+
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Job summary

A leading private debt investment manager is seeking a Treasury Associate on a 12-month fixed-term contract in London. The role involves overseeing liquidity management, coordinating fund transactions, and handling FX activities. Candidates should have 4-7 years of relevant experience, particularly in private debt and confidence with multi-currency transactions. Immediate availability is preferred.

Qualifications

  • 4-7 years of experience in a similar role.
  • Strong understanding of liquidity management and capital flows.
  • Confident with FX and hedging processes.

Responsibilities

  • Oversee cash and account management across fund entities.
  • Coordinate flow of funds for investments and manage execution.
  • Assist in FX and hedging transaction execution.

Skills

Treasury or liquidity management experience
Private debt/credit exposure
Multi-currency transaction handling
Understanding of fund structures

Job description

Treasury Associate – Private Debt (12‑month FTC)

A leading private debt investment manager is seeking to appoint a Treasury Associate on a 12‑month fixed‑term contract. This newly created position has been introduced to support continued fund growth and increased transactional activity across multiple investment vehicles.

Direct message the job poster from Aria Partners.

We’re looking for an individual with proven experience in a treasury or liquidity management role within private debt/credit, with exposure to fund structures, FX, and leveraged financing facilities. Immediate or short notice availability is required.

Treasury & Liquidity Management
  • Oversee day‑to‑day cash and account management across multiple fund entities, ensuring optimal utilisation of capital and maintaining accurate liquidity forecasts. Support weekly and monthly reporting on available cash and committed capital.
Investment Funding & Execution
  • Coordinate the end‑to‑end flow of funds for new investments, refinancings, and realisations. Manage internal approval steps and funding documentation to ensure timely execution and accurate recording of transactions.
  • Support ongoing management of fund financing lines (including ABL, NAV, and subscription facilities). Monitor utilisation, assist with covenant reporting, and ensure compliance with lender requirements and internal deadlines.
FX & Hedging Oversight
  • Assist in the execution and monitoring of FX and hedging transactions. Manage related reporting requirements (including ISDA) and oversee settlements and mark‑to‑market processes.
  • Calculate and track investment exit proceeds, monitor performance metrics (IRR and multiple on money), and coordinate the recycling or distribution of proceeds in close collaboration with fund finance teams.
Requirements
  • Circa 4‑7 years of experience in a similar role, ideally within private debt/credit or private markets.
  • Strong understanding of fund structures, capital flows, and liquidity management.
  • Confident handling multi‑currency transactions and working knowledge of FX and hedging processes.

Apply online for immediate consideration or reach out directly to Tom Davenport at Aria Partners for more information.

Location: London, England, United Kingdom.

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