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Atlas Search in New York City seeks a Treasury Senior Manager to lead liquidity management, cash forecasting, and banking relationships across the organization. You will optimize the firm’s capital structure and oversee both day-to-day operations and strategic treasury initiatives.
Collaborating with Fund Finance, Controllers, Legal & Compliance, Investor Relations, and investment teams, you will strengthen treasury processes, implement internal controls, and deliver timely lender reporting and
Join a global financial platform ($75B AUM) that combines advisory and long-term investing to serve founders, family-owned businesses, and strategic investors. The firm operates at the intersection of entrepreneurship, private capital, and long-term partnerships, backed by a differentiated capital base and a collaborative culture.
The firm is seeking a Treasury Senior Manager to lead both day-to-day and strategic treasury initiatives across the organization. This role will focus on liquidity management, cash forecasting, banking relationships, and optimization of the firm’s capital and funding structure.
Key responsibilities include managing short- and long-term liquidity needs, overseeing cash positioning across management company and fund entities, supporting credit facility structuring and administration, and strengthening treasury processes and controls.
This position partners closely with Fund Finance, Controllers, Legal & Compliance, Investor Relations, and investment teams to support disciplined capital deployment, effective risk management, and the successful execution of treasury initiatives across the firm.
Location: New York City, 4 Days In Office