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SB Investment Advisers has an exciting opportunity for a VP, Treasury to join our global Finance/Treasury team. This role will have exposure and responsibility across varying levels of management and is an excellent opportunity for a candidate who has a keen interest in private equity and treasury and cash management. The ideal candidate will have experience in the areas of international treasury, liquidity management, investments and operations, and managing counterparties/banking relationships. 


●      Establish daily cash positioning for operating entities, monitor cash and global bank accounts

●      Manage all domestic and international AP,  Tax and payroll payments (ACH, Wires, BACKS, CHAPS, Faster Payments).

●      Identify funding gaps, prepare cash forecast/budget, and work with FP&A, Tax, Legal, and SBG Group Management to put in place intercompany loans or capitalizations to secure funding for SBIA UK, US, Japan, Singapore, and Middle East operations

●      Work with Legal and/or external counsel, deal teams, and fund admin to execute funding wires at closing for upcoming investments and any other cash movements through the various structures

●      Drive Kyriba implementation to completion and go live with remaining modules; work with banking partners to setup and monitor H2H connectivity for reporting and payments 

●      Assist with review of capital calls and distribution calculations, LP notices, and recommendations /reports prepared by the fund administrator and Accounting

●      Work with international banking partners, fund admin, and Legal to prepare KYC and account opening documentation and open accounts as needed for newly created legal entities; ensure accounts are setup on online systems and administer access for various user groups

●      Manage fund admin, custodian, and banking partners relationships

 ●      Assist with creating and streamlining SBIA operations and build policies & procedures

●      Support ad hoc treasury requests and ensure our internal processes are being followed while identifying areas of improvement


●      Bachelor’s in Business, Finance, Economics or related discipline.

 ●      6-8 years of experience in international treasury, cash and FX risk management, private equity fund investments and liquidity management, and/or related function

●      Excellent project management skills with the ability to build strong cross-functional relationships, gain consensus among various teams, and drive initiatives to completion effectively

●      A ‘hands on’ team player who is comfortable working on detailed transactions on an independent basis and coordinating input from others

●      Ability to multi-task, work well under pressure with commitment to deliver under tight deadlines

●      Strong business judgment and autonomy

●      Strong understanding of cash management and payment principles, liquidity and forecasting

●      Strong process and control mindset. Strong attention to detail

●      Excellent working knowledge of Excel and PowerPoint

●      Excellent written and verbal communications skills and a strong track record of partnership

●      Certified Treasury Professional (CTP) a plus

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