Job Description















India  
10th January 2026






























Our client is a global alternative investment manager with significant exposure across private credit, structured finance, and multi-asset investment platforms. The Treasury & Treasury Operations team plays a critical role in ensuring smooth cash flow, funding execution, collateral management, and liquidity oversight across multiple investment vehicles.


Key Responsibilities



  • Manage day-to-day treasury operations including wire payments, cash movements, and liquidity management across multiple funds and legal entities.

  • Execute and review SWIFT wire payments, ensuring accuracy, control, and compliance with internal approval frameworks and cut-off timelines.

  • Perform cash forecasting to assess funding requirements, liquidity positions, and investment readiness.

  • Support portfolio financing activities, including drawdowns, repayments, interest servicing, and distribution waterfalls.

  • Manage collateral movements and margin calls, working closely with counterparties, banks, and internal stakeholders.

  • Monitor daily cash activity, agent notices, and settlement instructions across banking and financing partners.

  • Coordinate KYC refreshes and documentation requirements with global banking partners.

  • Partner closely with investment, finance, capital markets, and operations teams to support deal funding and trade settlements.

  • Provide oversight and guidance to treasury operations resources within the Centre of Excellence.

  • Participate in treasury system enhancements, automation initiatives, and process improvement projects.


 









Key Requirements








  • Proven experience in Treasury or Treasury Operations within asset management, alternative investments, banking, or financial services.






  • Strong hands-on experience with SWIFT messaging and wire payments






  • Experienced with Cash forecasting and liquidity management






  • Experienced with Collateral management and margin calls






  • Exposure to leverage facilities, subscription lines, or portfolio financing structures is highly advantageous.






  • Familiarity with treasury management systems and payment processing platforms.






  • Advanced proficiency in Microsoft Excel and strong attention to detail.






  • Experience with investment accounting platforms such as Geneva or similar systems is a plus.






  • Ability to manage multiple priorities in a high-volume, deadline-driven environment.






  • Strong communication skills and confidence working with global stakeholders.

















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