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Treasury Specialist

Job in Dallas, Dallas County, Texas, 75215, USA
Listing for: Capital Southwest
Full Time position
Listed on 2026-07-18
Job specializations:
  • Finance & Banking
    Corporate Finance, Financial Analyst, Financial Reporting, Financial Manager
Salary/Wage Range or Industry Benchmark: 90000 - 150000 USD Yearly USD 90000.00 150000.00 YEAR
Job Description & How to Apply Below

Role

Treasury Manager/Senior Associate (Private Credit)

Firm Overview

Capital Southwest is a private credit investment firm focused on originating and managing senior secured debt investments in lower middle market companies (EBITDA typically between $3 million and $15 million). The firm partners closely with private equity sponsors and founder-owned businesses, providing flexible capital solutions to support acquisitions, growth initiatives, recapitalizations, and refinancings. As of March 31, 2026 CSWC has total balance sheet assets of approximately $2.2 billion and has funded over $4.1 billion in new direct credit investments across over 194 businesses since 2015.

Role Overview

The Treasury Manager/Senior Associate role will be responsible for a wide variety of Treasury duties, including wire setup, liquidity modeling, daily cash reconciliation, and credit facility collateral management. The position will report to and be managed by the VP of Finance.

Key Responsibilities
  • Prepare and set up wire transactions using supporting documentation from various departments (i.e., accounting team, deal team, and finance team) ensuring accuracy and completeness
  • Serve as liaison between deal team and finance team for all new investment funding requirements (e.g., funds flows, fee schedules, etc.)
  • Coordinate closely with finance team to update and maintain corporate liquidity forecasting model
  • Support capital structure management of multiple entities, including preparing capital draws and managing borrowing bases
  • Design and maintain treasury management system (Finley Technologies software)
  • Develop and maintain KPIs and dashboarding as it relates to treasury operations
  • Perform daily cash reconciliation for all company bank accounts
  • Participate in special ad-hoc treasury modeling projects to support senior management and/or key business leaders
  • Record journal entries in accounting software where appropriate (e.g., dividends, bond payments, interest payments, etc.)
  • Assist in audit procedures and coordinate with third-party valuation teams where relevant
Qualifications
  • 3+ yrs experience directly related to treasury operations, and must be adequately versed in excel modeling
  • Strongly prefer experience in financial services or investment companies
  • Knowledge of corporate finance and accounting
  • Ability to operate with autonomy and accountability
  • Strong communication skills including writing/composition, oral, and listening skills
  • Must possess a good attitude, be dedicated, have initiative and motivation, attention to detail, teamwork, and professionalism
  • Bachelor’s degree in finance, accounting, economics, or related field
Compensation

Competitive base salary, performance-based bonus, and long-term incentive participation, commensurate with experience.

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