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Senior Manager of Corp Finance & Treasury @ Global 60B+ Real Estate Firm

Job in Dallas, Dallas County, Texas, 75215, USA
Listing for: Coda Search│Staffing
Full Time position
Listed on 2026-01-14
Job specializations:
  • Finance & Banking
    Corporate Finance, Financial Manager, Risk Manager/Analyst
  • Management
    Financial Manager, Risk Manager/Analyst
Job Description & How to Apply Below

Senior Manager of Corp Finance & Treasury @ Global 60B+ Real Estate Firm

A client of ours is a Top Tier Real Estate Firm that has a high-impact leadership opportunity. They have approximately $60B+ AUM, with a market cap of >125B, they are undergoing a transformative growth phase—globally expanding from 500 to over 800 employees in the last couple of years. Following a record-breaking year of $+20B in transaction activity.

They’ve opened a newly created role due to growth and are seeking a Senior Manager of Treasury (Corporate Finance Team); this role reports to the Head of the team. This professional will help drive Finance Treasury Operations throughout the whole business working with all business lines.

Responsibilities
  • Support system integration & implementation for the treasury function’s transition to a streamlined, integrated banking architecture. Lead cross‑functional efforts to ensure the seamless migration of processes into new, end‑to‑end treasury and ERP platforms.
  • Oversee day‑to‑day asset level liquidity management and cash positioning for a massive portfolio of holdings. Ensure precise account reconciliation and compliance with internal controls and regulatory frameworks.
  • Design and implement sophisticated bank account structures to optimize cash visibility and flow, balancing the diverse needs of third‑party partners with corporate efficiency goals.
  • Lead initiatives that enhance scalability, accuracy, and automation within a high‑intensity investment environment.
  • Serve as a strategic stakeholder‑management key liaison between Finance, Accounting, Legal, and IT departments to align treasury objectives with broader enterprise growth targets.
  • Develop and monitor robust risk mitigation frameworks to mitigate cybersecurity, liquidity, interest rate, and counter party risks across the global portfolio.
  • Proactively identify risks and improvement opportunities, and then serve as an advisor to senior leadership to address those concerns.
  • Support cross‑functional teams in developing relevant financial metrics to tightly track progress and performance across the company's operations.
  • Perform recommendation‑oriented analysis on the strategic, operational, and financial impacts of managerial actions, summarizing information in a format that effectively communicates outcomes/scenarios to management.
Requirements / Qualifications
  • Bachelor’s degree in Finance, Accounting or Economics needed; MBA, Master’s, or CPA is a plus.
  • 5‑8 years’ experience in Treasury Finance Management, with banking accounting and treasury operations.
  • High proficiency in Excel — building financial and decision‑support models.
  • Real Estate Asset/Property Level is a must.
  • Analytical, strategic thinking and detail‑oriented.
  • Ability to travel.
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Position Requirements
10+ Years work experience
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