Treasury Manager

Dalfen Industrial

$90K — $130K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • 5+ years of treasury experience in real estate or private equity firms
  • CTP certification preferred
  • In-depth knowledge of various account structures and banking economics
  • Experience with treasury management platforms is a plus
  • Ability to design effective cash management practices

Responsibilities

  • Develop and execute treasury strategy and best practices
  • Manage relationships with banking institutions
  • Optimize account structures for yield and fee reduction
  • Establish processes for account opening with compliance checks
  • Monitor ongoing account performance to correct billing errors
  • Provide daily cash reports and liquidity forecasts
  • Oversee intercompany financial settlements and capital distributions

Benefits

  • Opportunity to shape and lead a critical treasury function
  • Collaborative work environment in Dallas, TX headquarters
  • Hands-on leadership role with significant responsibility
  • Potential for implementing advanced treasury management systems
  • Engagement with diverse financial activities across the organization
Full Job Description
The Treasury Manager will be the architect of Dalfen Industrial's treasury infrastructure. This is a hands-on leadership role responsible for centralizing cash management, optimizing liquidity and designing/implementing best practices. This role will report to the Chief Accounting Officer and will be based in the Dallas, TX headquarters office.

Responsibilities:

  • Implementing overall treasury strategy and best practices
  • Bank relationship management
  • Creatively structure accounts (optimizing yield, minimizing fees, sweeps, ZBAs, other investment options, etc.)
  • Account opening: put processes in place to have correct structure, yield, fraud protections, KYC in place on the front end.
  • Account maintenance and monitoring: ongoing monitoring of yield and fees to identify billing errors and/or negotiate better terms proactively
  • Daily cash reporting
  • Liquidity forecasting at property, fund and corporate levels
  • Manage intercompany settlements and capital injections between funds, REITs and property level SPEs.
  • Maximize cash distributions to fund levels for recycling and/or distributions to investors.
  • Partnering with finance team for treasury leverage related to lending deals
  • Ensure proper segregation of duties are in place
  • Managing fraud prevention policies and adapting based on changing risk landscape. (e.g. positive pay, callback verifications, dual factor authentication, other system controls)
  • Potentially implement and manage a treasury management system with integrations to Yardi
  • High level oversight of accounts payable function


Qualifications:

  • 5+ years experience in treasury for a real estate or PE firm (multi-location experience required)
  • CTP preferred
  • Strong understanding of different account structures and banking economics (e.g. ECR, sweeps, money market, ICS, etc.)
  • Experience utilizing and implementing treasury management platform preferred.

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