TITLE: Treasurer
LOCATION: Toronto or Montreal
REPORTING TO: CFO/COO
OVERVIEW:
A growing alternative investments firm with (approximately $50B AUM) managing diversified private equity, CLOs, and private credit strategies across North America and Europe is seeking a Treasurer to oversee treasury operations across its private equity and private credit businesses. This role manages liquidity, cash operations, capital markets activity, and banking relationships for a multi-strategy platform with multi-billion-dollar AUM. The ideal candidate brings strong technical expertise, sound judgment, and the ability to partner effectively across investment and finance teams.
RESPONSIBILITIES:
- Manage daily liquidity, cash positioning, forecasting, wires, and treasury controls
- Execute capital calls, distributions, FX transactions, and fund-level financing
- Lead negotiations for subscription lines, credit facilities, and banking services
- Maintain and enhance banking relationships; onboard new providers as needed
- Ensure compliance with treasury policies, regulatory requirements, and reporting obligations
- Improve treasury processes, systems, and operational efficiency
- Support investment teams with liquidity planning and deal-related cash needs
- Prepare and provide treasury insights, reports, and recommendations to senior leadership
REQUIREMENTS:
- 10+ years of treasury experience within investment management, private equity, private credit, or financial institutions
- Strong understanding of fund structures, capital calls/distributions, and financing tools (e.g., subscription/NAV facilities)
- Expertise in cash management, capital markets processes, and treasury systems
- Strong analytical skills, attention to detail, and communication ability
- Proven ability to operate in a fast-paced, collaborative, and entrepreneurial environment
- Bachelor’s degree in Finance, Accounting, Economics, or related field; MBA or CFA preferred