Jobs · Finance · Iowa

Treasury Senior Analyst

A-CAP · Des Moines, IA · 3 wk ago
On-siteFinanceFull-time

About the role

A-CAP is a leading provider of capital and third-party asset management solutions. We deliver tailored capital solutions to individuals, insurance companies, and small- to medium-sized businesses. We are seeking a Treasury Senior Analyst to manage liquidity, cash management, and banking relationships.

Responsibilities

  • Accurately capture and settle trades across asset classes in both Charles River and proprietary internal systems.
  • Perform daily cash and position reconciliations; investigate and resolve breaks with custodians and administrators.
  • Cook up wire execution for all outgoing investment cash transactions through custodian accounts.
  • Oversee the setup and maintenance of ACL's accounts payable disbursement process.
  • Manage inbound cash receipts and Accounts Receivable cash positioning.
  • Assist in interpreting credit agreements and term sheets to support operational setup and trade booking.
  • Support new business initiatives, system enhancements, and workflow automation projects.
  • Help build and maintain ACL's enterprise-wide cash flow forecasting model.
  • Help identify and flag potential liquidity gaps or concentration risks.
  • Maintain compliance with SC DOI insurance regulations, internal audit requirements, and Oaktree's governance standards.
  • Coordinate with the Finance and Accounting teams on month-end treasury close and audit activities.
  • Help identify, document, and implement improvements in controls, automation, and operational procedures.

Requirements

  • Bachelor’s degree in Finance, Accounting, or Economics, or a related field.
  • Working knowledge of trade lifecycle and basic reconciliation processes.
  • Strong Excel skills; ability to handle large datasets and generate repeatable reporting outputs.
  • High attention to detail and strong organizational skills.
  • Clear verbal and written communication skills; able to work cross-functionally.
  • Self-starter capable of managing tasks independently.
  • Team-oriented mindset and strong professional integrity.
  • Experience with treasury management systems and online banking platforms.
  • Understanding of cash management, banking regulations, and financial instruments.
  • Strong problem-solving abilities and a high degree of attention to detail to identify discrepancies in high-volume data.

Qualifications

  • Must be authorized to work for ANY employer in the U.S.

Skills

  • Knowledge of treasury management systems and online banking platforms.
  • Understanding of cash management, banking regulations, and financial instruments.
  • Strong problem-solving abilities and attention to detail.

Benefits

  • Competitive compensation programs
  • Employer-sponsored medical, dental, and vision insurance
  • Paid Life & AD&D Insurance (for employees and families)
  • Paid Disability Insurance (STD + LTD)
  • Paid Parental Leave
  • Paid Vacation and Sick Leave
  • Paid Holidays
  • Voluntary Supplemental Insurance
  • Safe Harbor 401(k) plan with employer match
  • And other benefits and perks!

Pay

Commensurate with experience.

Schedule

Full-time, Monday through Friday, 9:00 a.m. to 6:00 p.m., 40 hours weekly, or as otherwise arranged with the manager of the department.

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