Work from Office
Full Time
Blackstone Credit Treasury Team manages cash and portfolio financing for BDCs, Drawdown Funds and Structured Products Funds investing in privately Originated Debt, Bank Loans, Corporate Bonds, Structured Credit, Distressed Debt, CDS and Equities. Primary responsibilities include: cash management, wire control and funding; portfolio financing and capital optimization; liquidity risk assessment, collateral management and counterparty risk exposure management; relationship management of bank and financing counterparties; regulatory and investor reporting; cash forecasting; systems implementation.
Responsibilities
Coordinate with Deal Team/IRBD/Finance on funding mechanics using cash on hand, leverage facility (ABL or subscription line), capital callDaily management of cash and liquidity activities for the various entities, including credit facility draws, repayments and interest/waterfall paymentsForecast cash flow, borrowing needs and available funds for investmentsEnsure timely execution of wire payments adhering to strict cut-off timesReview cash movement activity, including wire instructions and agent noticesPartner closely with BXC deal team, finance team and capital markets team on Treasury needs globallyManage resources in our Center of Excellence (CoE) in India and provide hands on support to Treasury teamProvide middle and back office support for deal funding and trade settlements Manage and update internal/external standard settlement instructions as requiredCoordinate Know Your Customer refreshes with our banking partnersAssist on new business initiatives and any special projects that may arise
Requirements
Experience leading activities including new Treasury Management System implementations, enhancements, modifications, integrations, and project managementExperience managing operational aspects of leverage facilitiesIn-depth knowledge of SWIFT message standardsPrevious experience using Treasury Management Workstation and SWIFT payment processing and reportingPrevious experience using Geneva or other accounting systemsPrevious experience with alternative asset management company Proficient with Microsoft Office Suite, including Advanced Excel, Word and PowerPoint Demonstrated ability to quickly learn new systems and processesDemonstrated ability to enhance current process and drive improvementsAbility to multitask in a fast-paced environment with multiple priorities
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