Treasury Analyst

Karya Property Management Houston , TX 77024

Posted 2 months ago

Karya Property Management is looking for an ambitious and detail-oriented full time Treasury Analyst to join our Financial and Accounting team.

This ole primarily focuses on providing accurate and data based information on companys profitability, solvency, stability and liquidity. You will research and analyze financial information to help company make well informed decisions, write reports and monitor financial movements.

The ideal candidate will have experience dealing with lenders or have worked for lenders dealing with real estate finance.

Main responsibilities include:

  • Manage lender / Servicer relations for 60+ properties
  • Maintain Capex budgets for all properties
  • Coordinate inspections for the lender or insurance-related inspections
  • Coordinate and facilitate answers to any lender or servicer questions
  • manage full capex draw cycle for fund reimbursement
  • Review and submit draw packages for all properties
  • review loan agreements for CAPEX / repairs/rehab related criteria or requirements
  • track and maintain all required repairs, or any other require rehab work

Requirements

  • Proven 1-3 years working experience as a Treasury/ Finance Analyst
  • BS degree in Finance, Economics or related field
  • Real Estate Experience preferred
  • Proficient in spreadsheets, databases, MS Office and financial software applications
  • Outstanding presentation, reporting and communication skills
  • Well informed in current financial subjects, accounting, tax laws, money market and business environments
  • Proven knowledge of financial forecasting and diagnosis, corporate finance and information analysis

Benefits

  • Health Care Plan (Medical, Dental & Vision)
  • Life Insurance (Basic, Voluntary & AD&D)
  • Paid Time Off (Vacation, Sick & Public Holidays)
icon no score

See how you match
to the job

Find your dream job anywhere
with the LiveCareer app.
Mobile App Icon
Download the
LiveCareer app and find
your dream job anywhere
App Store Icon Google Play Icon
lc_ad

Boost your job search productivity with our
free Chrome Extension!

lc_apply_tool GET EXTENSION

Similar Jobs

Want to see jobs matched to your resume? Upload One Now! Remove
Treasury Analyst

American International Group

Posted 2 months ago

VIEW JOBS 10/8/2020 12:00:00 AM 2021-01-06T00:00 Your Future Team AIG Treasury is a global organization within the Finance division of AIG. We have offices in New York City, Houston, London, Dublin, Japan, and India. In addition to Corporate Strategy, Investor Relations, Rating Agency, and Bank Relations, AIG Treasury's primary business functions include short-term cash flow forecasting & funding, short-term investing & borrowing, liquidity management, analytics & metrics reporting to measure, monitor, and mitigate liquidity, foreign exchange, and counter-party credit risk. AIG Treasury is seeking a Treasury Analyst to work as an integral member of the Life and Retirement Treasury team. In this role, the new hire will be responsible for performing all the day to day activities encompassing the following in addition to assisting in ad-hoc initiatives/ projects revolving forecasting, investing, borrowing, and FX. Your Contributions * Prepare, review, and analyze the day's cash balances and projected flows to appropriately allocate cash placement with high yielding banks while keeping exposure within Credit's guideline. * Review, analyze cash flow forecasts, and advice on investing or financing strategies working with senior management, Global Capital Market, and Asset Management. * Track key market data/ daily collateral flows to support sensitivity and trend analysis and management dashboard. * Measure, monitor, and report liquidity management at AIG Life & Retirement and its subsidiaries. * Aggregate, review, and distribute key risk analytic reports related to liquidity, cash flows, and invested assets at the AIG Life and Retirement material entities. * Assist in development and documentation of liability measurement modeling, data compilation and analysis, including but not limited to measuring unencumbered high-quality collateral, for pro forma cash flow analysis for liquidity measurement, monitoring, and risk reporting. * Contribute to material and presentations for senior management, Board of Directors, and regulators. What We Are Looking For * Undergraduate degree required. Finance or business major preferred. * Broad experience in Finance, Treasury, and Risk Management in a financial firm with demonstrated knowledge in corporate finance, investments, and accounting. * Self-starter, quick learner, and flexible team player. * Excellent problem solving, and analytical skills with high level of intellectual curiosity ability. * Ability to multitask and work well under pressure and tight deadlines while retaining strong attention to detail. * Demonstrate professionalism in handling confidential and sensitive information. Preferred technical skills with an advanced knowledge of: * MS Office Suite (particularly MS Excel and MS PowerPoint). * Visual Basic for Applications (VBA). * Business Intelligence Tools (specifically MicroStrategy and Bloomberg). It has been and will continue to be the policy of American International Group, Inc., its subsidiaries and affiliates to be an Equal Opportunity Employer. We provide equal opportunity to all qualified individuals regardless of race, color, religion, age, gender, gender expression, national origin, veteran status, disability or any other legally protected categories. At AIG, we believe that diversity and inclusion are critical to our future and our mission - creating a foundation for a creative workplace that leads to innovation, growth, and profitability. Through a wide variety of programs and initiatives, we invest in each employee, seeking to ensure that our people are not only respected as individuals, but also truly valued for their unique perspectives. Functional Area: FA - Finance Estimated Travel Percentage (%): No Travel Relocation Provided: No AIG Employee Services, Inc. American International Group Houston TX

Treasury Analyst

Karya Property Management