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Analyst Treasury Operations (San Antonio, TX)
AI Summary
Manages daily cash and treasury operations, including bank account reconciliation, cash positioning, ACH and wire transfers, fraud detection, and reporting to Accounting.
About this role
Company Overview
Along with its affiliate companies, Affinius Capital invests across the risk spectrum for a global client base, managing over $64 billion in gross assets under management within a diversified portfolio across North America and Europe. Affinius Capital provides strategic equity and debt capital, including to capitalize on the accelerating demand for technology-driven real estate assets, to meet the critical need for housing solutions, and for other market and capital structure opportunities exhibiting compelling risk-return characteristics. For more information, visit affiniuscapital.com.
Job Description
Responsible for various activities relating to the daily cash management and treasury operations for Affinius Capital. Primary responsibilities include the administration of cash transactions, maintenance and reconciliation of bank accounts, cash positioning and analysis, fraud awareness and the reporting of daily cash transactions to Accounting and other departments.
Essential Duties:
- Reconcile approximately 40+ peer bank accounts; partnering with Accounting to resolve bank and general ledger differences.
- Manage, analyze and balance 60+ bank accounts with multiple banks on a daily basis to include, cash variance explanations, reporting cash shortages and responding to information requests.
- Responsible for processing and logging ACH/Check runs weekly or more frequently as needed.
- Review, research and manage suspicious activity to detect fraud.
- Verification of tenant lockbox receipts and depositing in-house receipts.
- Cash movement, Wire transfers and ACH transfers.
- Monitor loan payments and maintain loan payment schedule for assigned accounts.
- Scan and file backup for transactions processed by Treasury.
- Respond to audit inquiries.
- Perform other essential administrative duties as assigned.
Requirements
- Bachelor's degree in Finance, Accounting, Business, or related field; or equivalent work experience.
- 1+ years Cash Management/Treasury work experience.
- ACH/Wire Transfer and heavy Bank Account Reconciliation.
- Highly proficient in Excel.
- Strong attention to detail and organizational skills.
- Ability to meet strict daily deadlines in a fast-paced work environment.
- Qualifications may warrant placement in a different job title.
Affinius Capital complies with laws and regulations that permit certain requests related to your data in our files, including, but not limited to, the California Consumer Privacy Act (the “CCPA”). The Company's privacy policy and contact information for questions regarding your data or the policy may be found here.
At Affinius Capital our employees enjoy generous benefits packages including comprehensive medical, dental and vision plans, 401k, educational and professional designation assistance and much more! The above description reflects the details considered necessary to describe the principal functions of the job and should not be construed as a detailed description of all the work requirements that may be performed in the job.
Affinius Capital is an Equal Opportunity Employer. Qualified applicants will receive consideration without regard to their race, color, religion, sex, sexual orientation, gender identity, national origin, disability, or status as a protected veteran.
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