Treasury Operations Senior Associate

Sixth Street group

Dallas (TX)

On-site

USD 110,000 - 170,000

Full time

33 hours ago
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Job summary

Sixth Street in Dallas seeks a Treasury Senior Operations Associate to join the Operations Team. The role focuses on treasury cash management, cash forecasting, and investment analysis to support private credit/equity funds and related investments.

The successful candidate will develop and improve treasury policies, manage bank accounts, coordinate with custodians and tax providers, and collaborate across teams to execute investment decisions with precision and urgency.

Qualifications

  • Minimum ten years of relevant Operations and Treasury experience.
  • Experience at an investment bank or buy-side organization that invests in liquid, private, highly structured transactions.
  • Deep knowledge of Treasury and Cash Management Operations, including building policies and procedures, while demonstrating ability to identify and implement process improvement.
  • Strong organizational, project management, and analytical skills.
  • Candidate must possess the attention to detail focus required to meet multiple demands and deliverables.

Responsibilities

  • Responsible for managing, developing, and recommending improvements to the investment fund’s treasury cash management strategies.
  • Perform cash forecasting and investment analysis.
  • Propose cash investment strategies including evaluating and managing sweep options with custodians.
  • Manage the bank account opening and closing process, and related entity management records.
  • Work with leadership to execute investment decisions.
  • Liaise with external tax provider on the annual FBAR reporting.
  • Report on status updates and efforts to leadership.
  • Provide backup to other Operations functions and assist in ad hoc requests as needed.
  • Assist and develop payment management & strategy related to energy, infrastructure, and agriculture investments.

Job description

Job Description
The Role

This is a full-time role based in Dallas, Texas. As a Treasury Senior Operations Associate, you will be a part of the Sixth Street Operations Team and serve as an integral part of this cross-functional team responsible for supporting Sixth Street investing activities for our private credit/equity, hybrid, and liquid credit funds. As a member of this team, you will have the opportunity to be a part of a growing team in a fast-spaced, entrepreneurial work environment.

Core Responsibilities
  • Responsible for managing, developing, and recommending improvements to the investment fund’s treasury cash management strategies
  • Perform cash forecasting and investment analysis
  • Propose cash investment strategies including evaluating and managing sweep options with custodians
  • Manage the bank account opening and closing process, and related entity management records
  • Work with leadership to execute investment decisions
  • Liaise with external tax provider on the annual FBAR reporting
  • Report on status updates and efforts to leadership
  • Provide backup to other Operations functions and assist in ad hoc requests as needed
  • Assist and develop payment management & strategy related to energy, infrastructure, and agriculture investments
What We Value
  • Strong technical, organizational, communication (both oral and written) and analytical skills
  • Self-motivated and willing to work in a team environment
  • High trust and integrity
  • Ability to multi-task and maintain composure in a complex environment
  • Strong sense of urgency; ability to execute quickly and efficiently with strong attention to detail
  • Structured problem solver who is able to synthesize information from a variety of sources into implementable recommendations and solutions
  • Ability to collaborate effectively across multiple teams
  • Comfort working in a high growth, iterative environment
Preferred
  • Minimum ten years of relevant Operations and Treasury experience
  • Experience at an investment bank or buy-side organization that invests in liquid, private, highly structured transactions – those seen at a private equity or private credit alternative asset management firm or investment bank
  • Deep knowledge of Treasury and Cash Management Operations, including building policies and procedures, while demonstrating ability to identify and implement process improvement
  • Strong organizational, project management, and analytical skills
  • Candidate must possess the attention to detail focus required to meet multiple demands and deliverables
About Sixth Street

Sixth Street is a leading global investment firm founded in 2009. Our long-term oriented, highly flexible capital base and "One Team" cultural philosophy allow us to invest thematically across sectors, geographies, and asset classes.

We aren’t looking for any single type of person. Our strength is in our team, a collection of people from different backgrounds and with their own perspectives, united in the mission of being the world’s best investment firm.

Sixth Street is proud to be an Equal Opportunity employer. We do not discriminate based upon race, religion, color, national origin, genetic history, marital status, gender (including pregnancy, childbirth, or related medical conditions), sexual orientation, gender identity, gender expression, age, veteran or military status, disability, genetic predisposition, status as a victim of domestic violence, a sex offense or stalking, or any other class or status in accordance with applicable federal, state and local laws.

Pursuant to the San Francisco Fair Chance Ordinance, Sixth Street will consider for employment qualified applicants with arrest and conviction records.

If you need a reasonable accommodation to fill out this application, please contact Cindy Bombara.

Please refer to the privacy notice on our website for additional information regarding our obligations under the California Consumer Privacy Act (“CCPA”).

If you are not eligible for this role, please refer to our Careers Page for other opportunities.

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