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Job Description

What is the Treasury Analyst responsible for?
  • The primary responsibility of the Treasury team is managing the day-to-day accounting of all Lexington fund investments.


What are the ongoing responsibilities of the Treasury Analyst?

Responsibilities include:


  • Update bank wire templates/call backs


  • Obtain daily bank reports for daily cash management


  • Daily review of underlying capital calls/distributions entering in Velocity general ledger


  • Review and payment of management company reimbursements and invoices


  • Review of Tax payments


  • Daily update of cash flows


  • Reconciliation of all SPV and/or main fund cashflows to bank statements


  • Monthly accounting close for all SPVs and/or funds


  • Bank reconciliations and account reconciliations for all SPVs and/or main funds


  • Assist in preparing and distributing weekly FLASH report


  • Recycling analysis of SPVs and/or main funds


  • Assist with the financial year end and SOC 1 annual audits


  • General accounting entries


  • Backup to the Research Assistant


  • Special projects


What ideal qualifications, skills & experience would help someone be successful in this role?
  • Bachelor’s degree in finance, Accounting,


  • Minimum 2 years of relevant professional experience in Public Accounting or a related field, Private Equity experience preferred


  • Excellent written and verbal communication skills


  • High level of organization and strong attention to detail


  • Strong working knowledge of Microsoft Office


  • Strong work ethic and proactive, positive attitude in a fast-paced environment with enthusiasm for expanding knowledge


  • Team-oriented, energetic self-starter with ability to collaborate cross-functionally across an organization as well as part of a team


  • Ability to support multiple projects with tight deadlines


  • Strong interpersonal, problem solving, analytical, and troubleshooting skills


Work Shift Timings - 2:00 PM - 11:00 PM IST


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