Analyst – Finance & Treasury Operations @ Asana Partners
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Overview
Asana Partners is a retail real estate investment firm with over $7 billion in assets under management. Our focus is on creating value in vibrant neighborhoods throughout the United States using a vertically integrated approach and deep retail expertise.
About the Role
This Analyst – Finance & Treasury Operations role is a unique opportunity to work within the Treasury team. Reporting to the Senior Director – Accounting, you will support finance, vendor management, payments, and treasury functions as the team expands into advanced real estate finance.
Key Duties & Responsibilities
- Support day-to-day operations of finance, accounts payable, and treasury.
- Perform treasury management functions including payment initiation, cash flow management, bank account openings, cash reporting, and reconciliation.
- Assist the Capital Markets team with debt closings and compliance for debt payments.
- Conduct finance functions such as liquidity planning, cash balance monitoring, and analytics.
- Manage vendor payments and maintain compliance with invoice and payment processes.
Requirements & Qualifications
Candidates should be highly analytical with acute attention to detail, a strong work ethic, and proficient in Excel. The role requires the ability to meet deadlines, manage multiple priorities, and work independently.
Education & Experience
Bachelor’s Degree in accounting, finance, business, or a related field with 1+ years of relevant experience.
Key skills/competency
- finance
- treasury
- vendor management
- cash reporting
- reconciliation
- analytics
- process improvement
- liquidity planning
- Excel
- accounts payable
How to Get Hired at Asana Partners
🎯 Tips for Getting Hired
- Research Asana Partners' culture: Understand their values, mission, and news.
- Tailor your resume: Highlight finance and treasury experience.
- Showcase Excel skills: Emphasize analytical abilities and process improvements.
- Prepare for technical questions: Review cash flow and account reconciliation processes.