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Oaktree Capital Management, L.P.
Treasury Analyst, Global Treasury Operations | Los Angeles, CA, USA
Job Description
Treasury Analyst, Global Treasury Operations Our Company Oaktree is a leader among global investment managers specializing in alternative investments, with over $200 billion in assets under management. The firm emphasizes an opportunistic, value-oriented and risk-controlled approach to investments in credit, private equity, real assets and listed equities. The firm has over 1400 employees and offices in 25 cities worldwide. We are committed to cultivating an environment that is collaborative, curious, inclusive and honors diversity of thought. Providing training and career development opportunities and emphasizing strong support for our local communities through philanthropic initiatives are essential to our culture. Global Treasury offers integrated, enterprise solutions for bank administration, payments execution, liquidity and risk management across all Oaktree entities and investment strategies. By centralizing these core functions for our key stakeholders, Treasury aims to enhance operational efficiency, reduce costs, increase yields on excess liquidity, and ensure disciplined, firm-wide risk management. For additional information please visit our website at www.oaktreecapital.com. Responsibilities This position will be responsible for Global Treasury daily operations and activities including Payments, Bank Account Management, Online Banking Administration, ISDA workflow, and special projects.
Responsibilities include:
- Verify payment instructions and ensure compliance with internal approval authorities and controls
- Investigate and resolve payment exceptions, rejections, and inquiries in a timely manner
- Support the development and enforcement of payment policies and procedures
- Maintain the global bank account inventory, including opening, closing, and modifying accounts
- Coordinate with banking partners and internal teams (Legal, Accounting, Compliance) on account documentation and KYC requirements
- Monitor bank fee statements and perform account structure reviews to optimize efficiency
- Administer online banking platforms across all banking relationships, including user provisioning and deprovisioning
- Manage and audit user access entitlements to ensure alignment with segregation of duties and internal control requirements
- Serve as primary liaison with bank representatives on system access issues and new platform onboarding
- Maintain documentation of access controls and support periodic internal and external audits
- Support the end-to-end ISDA agreement workflow, including coordination with counterparties, Legal, and Compliance
- Participate in treasury technology implementations, system upgrades, and process automation initiatives
- Partner with Accounting, Investment Operations and Business Transformation on cross-functional treasury initiatives
- Prepare ad hoc analyses and presentations for Treasury management and senior leadership Qualifications
- Bachelor's degree in Finance, Accounting, Economics, or a related field
- 2-4 years of treasury, corporate finance, or banking experience
- Solid understanding of global cash management, payments, and banking operations
- Familiarity with
ISDA/CSA
documentation- Experience administering online banking platforms and managing user access controls
- Proficiency in Excel; experience with a TMS (Kyriba, GTreasury, FIS, or similar) preferred
- Strong analytical, organizational, and communication skills with high attention to detail Personal Attributes
- Excellent verbal and written communication skills
- Extremely organized and able to manage multiple workstreams and projects simultaneously while addressing escalated issues
- Strong quantitative, problem solving, and analytical skills
- Flexible and team-oriented with strong integrity and professionalism Education A bachelor's degree is required.
Benefits
- Bonuses/Stipends
- Dental Insurance
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Based on California data
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What they do
A Treasury Analyst works mainly with large organizations or governmental agencies to help oversee cash flow, assess finances and to advise the leaders on how to retain a healthy financial position. Can perform a wide variety of tasks, such as financial modeling and forecasting, budgeting and asset management.
$83,466 / year median in California
+2% projected growth