Berkadia Commercial Mortgage LLC

VP, Cash Management Operations

Berkadia Commercial Mortgage LLC$120K — $150K *
Finance & Insurance
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • 5-7 years of experience in treasury or cash management
  • Strong knowledge of regulatory standards and compliance requirements
  • Proven leadership skills managing diverse teams across regions
  • Excellent analytical and problem-solving abilities
  • Proficiency with financial systems and banking platforms
  • Effective communication skills for stakeholder engagement

Responsibilities

  • Collaborate with banking partners and internal teams to ensure compliance
  • Serve as primary liaison with banks on cash management issues
  • Oversee operational aspects of treasury-related systems
  • Manage the lifecycle of bank accounts and cash management operations
  • Act as escalation point for complex cash-related issues
  • Ensure accuracy and timeliness of cash reporting
  • Lead technology projects to enhance operational efficiency

Benefits

  • Monthly paid volunteer hours and donation matching
  • Employee Resource Groups for personal and professional growth
  • Fertility and family planning services
  • Up to 12 weeks of fully paid parental leave
  • Mental health care with free counseling sessions
  • Generous tuition reimbursement
  • Pet insurance discounts
Full Job Description
This role is responsible for providing managerial oversight of treasury, banking, and cash management operations supporting a commercial mortgage loan servicing platform. The position oversees supervisors and team leads responsible for cash-managed loans, banking activity, and supporting systems, with a strong focus on operational risk management, control execution, and scalable process design. The role partners closely with internal stakeholders and external banking partners to ensure borrower cash is controlled, processed, and reported in accordance with governing agreements, regulatory requirements, and internal standards.

We are committed to growing your career, so in this role you will be responsible for:

Banking Relationships and Systems:
  • Collaborate with banking partners, Legal, Audit, and internal operational teams to ensure compliance with regulatory standards, governing agreements, and servicing requirements.
  • Serve as the primary liaison with external banks on cash activity, account administration, system connectivity, and issue resolution.
  • Oversee treasury-related systems, including the Trintech CheckFree application, banking platforms, reconciliation tools, and servicing system integrations supporting cash operations.
  • Partner with Technology and Treasury teams to support system stability, enhancements, and user adoption.

Bank Account & Cash Management Oversight
  • Oversee the opening, modification, and closure of bank accounts, ensuring appropriate access, controls, documentation, and system connectivity in accordance with governing agreements.
  • Oversee cash management operations, including hard lockbox, soft lockbox, and springing lockbox structures, ensuring borrower cash is controlled, applied, and disbursed in strict accordance with loan documents, cash management agreements, and investor requirements.
  • Serve as the escalation point for complex cash-managed loan issues, including borrower disputes, covenant triggers, sweep activations, and document interpretation matters.
  • Partner with Client Relations on borrower communications related to lockbox structures, cash restrictions, and operational requirements.

Compliance & Controls
  • Monitor bank ratings and eligibility to ensure accounts are maintained with approved institutions in accordance with governing agreements.
  • Document, maintain, and enforce procedures to ensure Corporate and Servicing compliance.
  • Provide guidance and consultation to internal teams on servicing involvement in cash restrictions at the loan and investor level.
  • Train and support staff on banking procedures, guidelines, and system updates impacting cash operations.

Reporting & Audit Support
  • Ensure the accuracy, completeness, and timeliness of monthly cash and banking reporting provided to management.
  • Support internal and external audits, regulatory reviews, and investor inquiries by providing documentation and explanations related to banking activity, platforms, controls, and procedures.
  • Partner with Accounting and Treasury teams to address audit findings and support remediation efforts, as needed.

Operational Efficiency & Projects:
  • Lead and support technology enhancements and efficiency initiatives across cash management, banking, and reconciliation teams, with a focus on automation, control strengthening, and operational resiliency.
  • Identify process gaps, control weaknesses, or inefficiencies and drive remediation and continuous improvement initiatives.
  • Participate in special projects and cross-functional initiatives related to servicing cash restrictions, system enhancements, and operational scalability.

We are passionate about your growth, so to achieve success in this role you should have:
  • Strong organizational, interpersonal, and leadership skills, with the ability to manage and develop teams across the U.S. and India.
  • Excellent communication and collaboration skills, with the ability to work effectively with banking partners, auditors, and internal stakeholders.
  • Proven ability to identify, analyze, and resolve complex operational and control issues, demonstrating strong research, analytical, and problem-solving skills.
  • Effective time management skills, with the ability to prioritize, meet strict deadlines, and manage a high-volume, high-risk operational environment.
  • Proficiency with financial systems, banking platforms, and reconciliation tools.
  • Strong knowledge of regulatory standards, compliance requirements, and internal controls within a financial services environment.

We believe People Matter, so we offer benefits that go beyond:
  • Monthly paid volunteer hours and donation matching to benefit our communities
  • Employee Resource Groups that help you grow with us
  • Fertility and family planning services
  • Up to 12-weeks of fully paid parental leave
  • Mental health care, including free counseling sessions:
  • We'll help you fund your learning journey with generous tuition reimbursement
  • Pet insurance discounts
  • And more!


#LI-HF1 #LI-HYBRID

About Berkadia Commercial Mortgage LLC

Berkadia Commercial Mortgage LLC is a leading commercial real estate finance company that provides mortgage banking, investment sales, and servicing solutions for multifamily and commercial properties. The company offers a wide range of financing options, including Fannie Mae, Freddie Mac, HUD/FHA, CMBS, life company, bridge, mezzanine, and preferred equity. Berkadia Commercial Mortgage LLC was founded in 2009 and is headquartered in Horsham, Pennsylvania.
Learn more about Berkadia Commercial Mortgage LLC
Size
1,500 employees
Industry
Founded
2009

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