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Treasury Manager

Pagaya Investments · New York, United States

External listingfull-timeabout 2 months ago

About The Role

Join Pagaya, a fast-paced fintech company, as a Treasury Manager in New York. In this hands-on role, you will support the firm's Investment Vehicles and Funds platform, focusing on cash management, securitization, and capital allocations. You will collaborate closely with teams across Finance, Capital Markets, and Partnerships, and have opportunities to expand into broader Corporate Treasury responsibilities. The ideal candidate will have a strong background in treasury operations, structured finance, and financial infrastructure.

  • Coordination of treasury initiatives and cross-functional projects, including cash forecasts and liquidity plans.
  • Facilitation of securitization and funding operations across ABS, Forward Flow, and RIA Fund structures.
  • Enhancement of treasury operations, including cash management, reconciliations, and funding flows, with a focus on automation and efficiency.
  • Familiarity with cash management and treasury processes
  • Experience in financial services, fintech, or asset management
  • High proficiency in analytical tasks and attention to detail (SQL experience mandatory)
  • Ability to review legal and transaction documents
  • Experience with ABS / securitizations or structured finance
  • Advanced Excel skills; experience managing large datasets
  • 5+ years in Treasury, structured finance, fund operations, or financial operations
  • Bachelor’s degree in a relevant field
  • Exposure to credit, funds, or fixed income
  • Python experience preferred

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