{bc}
linkedin

Senior Associate - Treasury & Capital Markets

Eden Rose
Abu Dhabi, UAE
fulltime
Entry
1 months ago
Power BIVAT
Free

Job Fit Check

Base Career helps you apply smarter for this job.

?%
Ready to Scan

Key skills for this role

Power BIVAT
Smart Apply

Full Job Posting

About The Role

Our client is an Abu Dhabi-based investment platform with a strong presence across private markets and multi-asset strategies.

This role sits within the Treasury & Capital Markets function, supporting liquidity management, funding, and treasury activity across a range of investment strategies.

It offers exposure to investment teams, fund structures, and capital deployment across an international platform.

International applications will be considered.

Cash Management & Liquidity

  • Manage daily cash positioning and short- to long-term cash flow forecasting across private credit and performing credit funds.
  • Ensure sufficient liquidity for trade settlements, margin requirements, and operational needs.
  • Prepare and distribute liquidity reports to the investment team, highlighting funding needs, constraints, and forward-looking cash dynamics.
  • Build and maintain Power BI dashboards and reporting to track liquidity, funding requirements, and portfolio-level cash dynamics.

Fund Finance & Leverage Facilities

  • Maintain and monitor leverage, subscription, and fund finance facilities, including borrowing base calculations and covenant compliance.
  • Run and review borrowing base reports, ensuring accuracy and timely reporting to lenders.
  • Support the creation, upsizing, and ongoing management of facilities as LPs close and fund structures evolve.
  • Maintain strong relationships with relationship banks and fund finance providers.

Fx Hedging & Risk Management

  • Oversee subscription-level and asset-level FX hedging programs to protect funds against currency exposure.
  • Execute and rebalance FX hedges on a regular (weekly) basis in line with portfolio changes and capital activity.
  • Produce hedge attribution for the FX book, ensuring fund accounting teams can accurately attribute P&L across strategies, funds, and individual deals.

Systems, Controls & Process Improvement

  • Deliver and maintain treasury systems, including leading the implementation of a Treasury Management System (TMS), such as Kyriba.
  • Enhance treasury controls, reporting, and operational processes to support a growing and increasingly complex platform.
  • Develop and enhance reporting capabilities using Power BI and other analytics tools to improve visibility and decision-making.

Stakeholder Collaboration & Leadership

  • Work closely with fund accounting, administrators, custodians, and internal finance teams to ensure timely processing of subscriptions, redemptions, and related hedging actions.
  • Act as a key point of escalation for treasury-related issues across funds and strategies.
  • Deputize for the Treasury Director when required, including assuming full treasury responsibility during periods of absence.

Required

  • 5–8+ years of experience in treasury, fund finance, or capital markets within asset management, private credit, or alternative investments.
  • Strong experience with cash management, liquidity forecasting, and leverage facilities.
  • Practical knowledge of FX hedging and exposure management, with understanding of hedge attribution and P&L mechanics.
  • Experience working with fund accounting teams and third-party administrators.
  • Proven ability to manage multiple stakeholders and operate with a high degree of autonomy.
  • Strong Power BI and data visualisation capability, with experience building dashboards and reporting for treasury or investment teams.

Apply for this job in 1 click

Skip the repetitive application forms

Install the Base Career Chrome Extension and autofill job applications across major job boards with your profile.

Sarah M.James T.Maya R.

Trusted by over 500,000 job seekers on Base Career

Start Free Today

More from this employer

More jobs at Eden Rose