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Trade and Treasury Operations Principal

Job in Boston, Suffolk County, Massachusetts, 02298, USA
Listing for: Partners Capital
Full Time position
Listed on 2026-01-25
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Corporate Finance, Financial Manager, Financial Consultant
Job Description & How to Apply Below

Founded in 2001, Partners Capital is a Global Investment Office acting for distinguished endowments and foundations, senior investment professionals and prominent families across the globe. With $60B in assets under management, the firm constructs customized investment portfolios for its clients tapping into its deep network of partnerships with what we consider exceptional asset managers across all major asset classes. Clients include Syracuse University, Sesame Workshop, INSEAD Business School, New York’s Metropolitan Opera, San Francisco Symphony, Eton College, Colorado College, several Oxford and Cambridge University Colleges, several family offices around the world, and senior executives from leading global investment firms.

The firm employs more than 350 people across its eight offices located in Boston, New York, London, San Francisco, Paris, Singapore, Hong Kong and Dallas.

Partners Capital is diverse and inclusive, in people and in thought. Our meritocracy is enabled by fostering a truly inclusive and collaborative culture. We are proud to be an equal opportunity employer where diverse perspectives, backgrounds and experiences are valued.

Position Description

The Trade and Treasury Operations, Principal located in Boston will play a critical role in supporting the trade execution, settlement, and treasury functions supporting the firm’s clients and multi-asset pooled vehicles through the completion of investment execution and treasury management. This position involves managing complex trade and cash flow activities across a wide range of asset classes and investment strategies, ensuring seamless operational efficiency, and maintaining strong oversight of liquidity and cash management.

As key stakeholders of investment execution, Trade Operations and Treasury team members are expected to have a high degree of attention to detail and understanding our execution policies and procedures.

The candidate will be an integral member of the global Client Operations Team, with broad scope for progression into multiple specialist functions within the team. The role has a wide-ranging responsibility and involves working with the Operations and Investment teams across all offices. The candidate should be hardworking and must be able to interact with colleagues and third parties, prioritizing and completing multiple tasks and meeting key investment deadlines.

The company has a ‘small business’ atmosphere and attitude. The successful candidate should be ready for wide-ranging responsibilities in multiple areas and will be expected to be flexible and willing to do whatever it takes to contribute to the firm’s continued success.

Reporting and Analysis
  • Oversee the preparation and delivery of daily, weekly, and monthly trade and cash reports for both internal and external stakeholders.
  • Provide data-driven insights and recommendations to enhance trade execution, liquidity management, and overall operational efficiency.
  • Ensure the accuracy, consistency, and integrity of trade and cash data across reporting systems and records.
Investment Execution
  • Manage the full lifecycle of investment execution across public and alternative asset classes, ensuring precision, compliance, and timeliness.
  • Maintain a deep understanding of alternative investment structures, including fund terms, fee classes, liquidity provisions, notice periods, gates, and lock-ups.
  • Supervise the preparation and review of investment documentation for client and pooled vehicle transactions, including hedge fund subscriptions/redemptions and brokerage applications.
  • Act as, or oversee, authorized traders for public market transactions such as ETFs and mutual funds.
  • Ensure all execution instructions and investment documentation meet internal control and compliance standards.
Treasury and Cash Management
  • Direct daily cash flow and liquidity management activities across multi-currency portfolios to ensure alignment with investment strategies and funding requirements.
  • Oversee cash movement activities, including wire transfers, capital calls, and distributions, ensuring accuracy and timeliness.
  • Develop and maintain liquidity forecasts to support portfolio…
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