Global Cash & Bank Partner Operations, VP
Listed on 2026-02-28
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Finance & Banking
Risk Manager/Analyst, Financial Analyst, CFO, Corporate Finance
Global Cash & Bank Partner Operations, VP About ATLAS SP Partners
ATLAS SP Partners is a global investment firm providing stable funding, financing, advisory and institutional products to market participants seeking innovative and bespoke structured credit and asset‑backed solutions. Our experienced team works closely with clients to determine optimal approaches for capital optimization and goal achievement, leveraging a holistic suite of integrated capabilities – including asset and portfolio advisory, warehouse and acquisition financing, whole loan purchase and sale, and securitization and distribution.
ATLAS is proud to build upon a legacy of client excellence, distinguished by certainty of execution, deep expertise, and comprehensive service across the asset‑management landscape.
ATLAS operates as “one team” where every individual makes an impact. We grow together, win together, and embrace change as a unified organization. Our commitment extends beyond advancing markets, and we strive to make a meaningful difference in our communities and for our clients. Our people are industry leaders, driven by a passion for client service, complex problem solving, and innovation.
We foster professional and personal growth in a collaborative, inclusive environment, and are proud to build upon a legacy of excellence anchored in deep expertise and client service across the asset‑management landscape.
The Global Cash & Bank Partner Operations at ATLAS SP plays a critical role in optimizing the firm’s global operations ranging across bank account and relationship management, operational cash management, reporting and transformation. This role is responsible for system governance, bank and account management, payments execution, reporting integrity, and third‑party coordination across a complex, multi‑entity structure. The position partners closely with Treasury, Technology, Compliance, Finance, and external banking and fund administrators to maintain strong controls, accurate reporting, and scalable operating processes as the organization grows.
Key Responsibilities- Kyriba Access & System Governance:
Own governance of the Treasury Management System, including user onboarding, role assignment, permissions, approval hierarchies, and signatory maintenance. Maintain segregation of duties and dual‑admin controls, partnering with Treasury, Technology, and Compliance to ensure alignment with internal policies and regulatory requirements. - Reporting, Reconciliations & Data Integrity:
Ensure accuracy, completeness, and reliability of cash and bank reporting across systems. Provide functional support to internal users on reporting and system usage. Monitor and resolve reporting issues, including missing accounts, rejected transactions, and variances. Oversee monthly reconciliations between Kyriba, bank statements, and the general ledger, and coordinate with banking partners to resolve missing statements and discrepancies. - Bank Relationship Management:
Serve as primary relationship owner for global banking partners, managing day‑to‑day engagement, account inquiries, and operational issues. Oversee bank account lifecycle activities including openings, closures, approvals, due diligence processes and structural changes. Lead service reviews and support fee management initiatives, with final decisions guided by Treasury leadership. - Bank Account & Master Data Management:
Maintain accurate and well‑governed bank account structures across entities and systems. Own bank account master data within Kyriba, including setup, usage classification, and reporting attributes. Ensure consistency of account data across treasury systems, internal platforms, and downstream reporting. Perform annual and periodic bank account reviews and manage ongoing documentation and certification requirements. - Citco & Third‑Party Administrator Coordination:
Act as a key liaison with Citco and other administrators to ensure accurate cash activity, reporting, and reconciliations. Oversee account setup in Kyriba and support issue resolution related to administrator‑managed accounts and cash movements. - Payments Execution & Oversight:
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