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Treasury Manager - Credit Fund; Associate Level

Job in City Of London, Central London, Greater London, England, UK
Listing for: Robert Walters UK
Full Time position
Listed on 2026-01-04
Job specializations:
  • Finance & Banking
    Corporate Finance, Risk Manager/Analyst
Salary/Wage Range or Industry Benchmark: 75000 - 85000 GBP Yearly GBP 75000.00 85000.00 YEAR
Job Description & How to Apply Below
Position: Treasury Manager - Credit Fund (Associate Level)
Location: City Of London

Overview

  • Cash Management, Funding, Hedging and Liquidity experience (ideally 3-5 years)
  • Hands‑on experience with Distressed Debt, Structured Credit, Leveraged Loans, Special Situations, Tactical Opportunities, Senior Debt or other Credit/Lending products from within a Private Equity or Private Credit Fund
  • Proficiency in using FIS
TREASURY MANAGER

Salary: £75,000 - 85,000

Location:

London

If you are looking for a role that combines operational excellence with strategic impact, flexible working opportunities, and ongoing professional development, this could be the perfect next step in your career.

  • Join a growing team at a respected alternative asset manager in London, offering direct involvement in new product launches and fund structures as part of their expansion strategy.
  • Benefit from a competitive salary package between £75,000 - £85,000 alongside flexible working opportunities and access to advanced treasury systems such as FIS Integrity.
  • Work closely with senior leadership on high‑impact projects including liquidity planning, debt facility operations, FX hedging strategies, and process improvement initiatives within a supportive and collaborative environment.
What you’ll do

As a Treasury Analyst based in London, you will be instrumental in shaping the future of the organisation’s treasury function during an exciting period of growth. Your day‑to‑day responsibilities will centre around managing liquidity frameworks, monitoring cash flows across multiple funds, producing detailed KPI reports for stakeholders, operating complex debt facilities, overseeing FX hedging strategies for significant fund exposures, liaising with deal teams on investment‑driven liquidity planning, standardising reporting processes, supervising payment approvals, upholding rigorous data governance standards, maintaining compliance through risk‑focused controls, and supporting the rollout of FIS Integrity.

Success in this role will require you to combine technical expertise with excellent interpersonal skills as you collaborate across departments to deliver best‑in‑class treasury solutions that underpin the company’s strategic ambitions.

  • Lead daily cash forecasting activities while maintaining a robust liquidity and funding framework that supports both operational needs and investment objectives.
  • Monitor group‑wide cash flows to ensure sufficient funding is available for all business operations and investments across multiple funds.
  • Produce accurate and insightful monthly treasury KPI reports for both internal management and external stakeholders, ensuring transparency and clarity.
  • Operate and monitor various debt financing arrangements including asset‑based lending (ABL), subscription lines (Sub‑Line), and net asset value (NAV) facilities; assess borrowing capacity and manage debt usage while ensuring covenant compliance.
  • Manage €30bn of fund‑level foreign exchange exposures by executing effective hedging strategies that support overall investment performance.
  • Liaise with deal teams to align liquidity planning with ongoing investment activity, standardising liquidity reporting processes across all relevant stakeholders.
  • Oversee payment processing workflows and approvals to maintain operational efficiency and control over financial transactions.
  • Uphold data integrity through strong governance processes and controls designed to safeguard sensitive information within treasury operations.
  • Maintain a risk‑focused approach by ensuring compliance with regulatory requirements and promoting operational resilience throughout all treasury activities.
  • Support the implementation of FIS Integrity by collaborating with technology teams to optimise system functionality for treasury processes.
What you bring
  • Proven experience in liquidity forecasting and cash modelling within private credit or private equity environments is essential for success in this role.
  • Demonstrated track record managing complex treasury structures such as pooling arrangements or multi‑layered fund hierarchies within global capital markets or alternative investment management.
  • Strong understanding of financial markets with particular expertise in alternative investments including…
Position Requirements
10+ Years work experience
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