Cash Management / Funding

Large Hedge Fund seeks an experienced Cash Management Operations individual (5-15+ years of direct experience) with very strong day to day cash movement experience monitoring account fundings, executing wire transactions to meets firms funding needs, reconciling payments/receipts and troubleshooting failed wires.  Additionally,  we would like the candidate to bring a level of knowledge whereby they can Identify opportunities to streamline and automate workflows.

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Treasury Analyst

Large Fintech seeks a Treasury Analyst responsible for assisting with all day-to-day cash management, risk management, liquidity and financing activities. There will be a number of projects and improvements to become involved with, and a range of analysis tasks, with interaction across functions. The candidate should be a top performer who excels in a high-energy environment and has an eagerness to take on increasing responsibility.

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Chief Financial Officer CFO, Short Hills, NJ

Very successful, profitable and well established telecommunications firm seeks a CFO for one of their portfolio companies. As the CFO you will report into the parent company CEO and oversee strategic planning, financial reporting, accounting, tax and treasury through 2 senior controllers. Candidates should have 10-15 years of experience either from a traditional accounting / CFO path or a banking background preferable from either a real estate / REIT or cash flow intensive type firm. Granular knowledge of business , product and customer segmentation and key impacts is highly preferred. Experience with complex financing arrangements is a plus.

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