Cash & Collateral Management | Treasury | Buy Side
New York, NY
Posted6/27/2025
Seeking a seasoned Corporate Treasury professional to join our Treasury function and take a lead role in managing cash and collateral, liquidity planning, FX risk, and transfer pricing frameworks across a dynamic and complex multi-entity hedge fund structure. This is a high-impact role requiring deep treasury experience, strong cross-functional coordination, and a strategic understanding of fund operations and capital efficiency.
QUALIFICATIONS
Bachelor’s degree in Finance, Economics, Accounting, or related field; CFA, ACT, or CPA certification a plus.
Minimum 5 years of relevant treasury or liquidity experience, preferably in a hedge fund, asset manager, or investment bank.
Strong understanding of cash management, collateral frameworks, FX hedging, and fund transfer pricing.
Knowledge of treasury systems, bank platforms, and margining tools; experience with platforms like Kyriba, Calypso, or similar is beneficial.
Advanced Excel skills; familiarity with VBA, SQL, or Python is advantageous.
Highly analytical with strong problem-solving skills and financial acumen.
Excellent communication and interpersonal skills to collaborate across functions.
Proven ability to manage multiple priorities and deliver under tight deadlines.
Detail-oriented, control-focused, and able to work independently in a fast-paced environment.
This role will sit ONSITE out of the New York, NY office.
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