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Senior Associate, Treasury Operations

Job in Conshohocken, Montgomery County, Pennsylvania, 19428, USA
Listing for: Hamilton Lane Incorporated
Full Time position
Listed on 2026-06-03
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Financial Analyst, Corporate Finance, Financial Reporting
Job Description & How to Apply Below
Location: Conshohocken

Join Hamilton Lane, a global leader in private markets, as we scale to meet the demands of our growing client base. Here, you'll work with ambitious, high‑performing teams built on integrity, candor and collaboration, backed by our market-leading data and technology. We invest heavily in our people and our partners, giving you the platform to enrich lives, safeguard futures and grow your career.

What We Do

As one of the largest private markets investment firms globally, we provide innovative solutions to institutional and private wealth investors around the world, specializing in flexibility and full-spectrum access. We currently employ approximately 800 professionals operating in offices throughout North America, Europe, Asia Pacific and the Middle East, and have $1.0 trillion in assets under management and supervision, composed of $146.1 billion in discretionary assets and $871.5 billion in non-discretionary assets, as of December 31, 2025.

The Opportunity:

Hamilton Lane is seeking a Senior Associate to join our Treasury Operations team. This role is responsible for managing daily treasury activities, maintaining strong relationships with banking partners, ensuring compliance with internal controls, and providing oversight and mentorship to junior team members. The ideal candidate is detail-oriented, process-driven, and comfortable operating in a fast-paced, collaborative environment.

Your responsibilities will include:

Treasury Operations & Banking Coordination

* Manage daily cash positioning and liquidity across multiple bank accounts and entities.

* Coordinate with internal stakeholders (Fund Accounting, Legal, Operations, and Deal Teams) to support funding, capital activity, and cash movement needs.

* Serve as a primary point of contact for banking partners, ensuring timely execution of wires, FX trades, and account administration.

* Monitor and reconcile treasury inboxes and systems to ensure timely processing of transactions and inquiries.

* Support the setup and maintenance of bank accounts, signatories, and documentation.

Compliance, Controls & Audit Readiness

* Ensure adherence to internal treasury policies, procedures, and approval workflows.

* Maintain accurate records and audit trails for all treasury transactions and activities.

* Lead periodic internal reviews of treasury processes and documentation to ensure compliance with internal controls and external regulations.

* Partner with internal audit and compliance teams to support audits and regulatory reviews.

Technology & Process Optimization

* Support the implementation and enhancement of treasury technology platforms and tools.

* Identify opportunities to streamline workflows and improve data accuracy and reporting.

* Assist in the development and documentation of standard operating procedures (SOPs).

Team Oversight & Mentorship

* Provide oversight and quality control for work performed by analysts and junior associates.

* Review and approve key deliverables, ensuring accuracy and consistency.

* Mentor junior team members and support their professional development.

* Assist in onboarding and training of new hires.

Stakeholder Communication & Reporting

* Prepare and deliver treasury reports and dashboards for internal stakeholders and leadership.

* Communicate proactively with internal teams to ensure alignment on cash needs, funding timelines, and treasury-related initiatives.

Your background will include:

Must-haves:

* 4-6 years of experience in treasury operations, banking, or financial services

* Bachelor's degree (B.A., B.S., or B.B.A.)

* Strong proficiency in Microsoft Excel and other Office applications

* Excellent organizational, analytical, and communication skills

* Experience managing multiple priorities in a deadline-driven environment

* High attention to detail and accountability

* Experience working both independently and collaboratively

Nice-to-haves:

* Experience with treasury management systems (e.g., Kyriba, Hazeltree)

* Familiarity with banking portals, SWIFT, and payment processing

* Exposure to FX transactions, cash forecasting, and liquidity planning

* Experience with internal audits, compliance reviews, or regulatory reporting

* Knowledge of…
Position Requirements
10+ Years work experience
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