Treasury & Deal Operations Analyst (Data & Automation)

Bennett Recruiting Services

California (MO)

On-site

USD 70,000 - 100,000

Full time

14 days+
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Job summary

An established finance firm seeks an Analyst, Treasury and Deal Operations in Los Angeles to support treasury and deal-tracking operations for asset management funds. You’ll reconcile positions, support cash flow, and help automate workflows to scale the operations infrastructure.

The role requires a Bachelor’s degree and 1–2 years of experience, with strong Excel skills; Python/SQL knowledge is a plus. You’ll work in a cross‑functional team with tight deadlines and attention to detail.

Qualifications

  • Bachelor’s degree required, with a preferred concentration in quantitative discipline such as mathematics, statistics, or computer science.
  • 1 to 2 years of hands-on experience preferred
  • Excellent analytical skills with strong working knowledge of Excel; familiarity with Python, SQL, or data scripting tools for automation and workflow enhancement is a plus.
  • Understanding of private debt and middle market loans a plus.
  • Strong attention to detail and highly organized with the proven ability to meet tight deadlines.
  • Ability to prioritize competing priorities with minimal supervision in a cross-functional team environment.
  • Strong written and communication skills.

Responsibilities

  • Assist on day to day reconciliation of positions and outstanding cash with fund administrators; conduct root-cause analysis on reconciliation breaks and assist in building detection logic to reduce recurrence.
  • Manage document retention for the audit process including the collection and organization of audit documents; participate in internal control reviews, contributing analytical frameworks for identifying process gaps and systemic risks.
  • Engage actively in process improvement projects by first learning manual workflows thoroughly enough to question them, then iterating toward more efficient, scalable solutions.
  • Assist in developing reporting tools and dashboards to surface operational KPIs and flag data anomalies.
  • Initiate outgoing wires for deal fundings and settlements, confirming that payment instructions tie to executed documentation and verified standing settlement instructions before submission.
  • Assist with cash rebalancing, near‑term cash projections, and liquidity analytics across fund portfolios.
  • Learn and execute the day-to-day loan servicing workflows, including but not limited to: interest accruals, rate resets, draws, paydowns, fees, and payment in‑kind.

Skills

Excel proficiency
Analytical thinking
Attention to detail
Cross-functional teamwork

Education

Bachelor’s degree

Tools

Python
SQL
Data scripting

Job description

An established finance firm seeks an Analyst, Treasury and Deal Operations in Los Angeles to support treasury and deal-tracking operations for asset management funds. You’ll reconcile positions, support cash flow, and help automate workflows to scale the operations infrastructure.

The role requires a Bachelor’s degree and 1–2 years of experience, with strong Excel skills; Python/SQL knowledge is a plus. You’ll work in a cross‑functional team with tight deadlines and attention to detail.

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