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Who We Are
Revantage is a Corporate Services affiliate of The Blackstone Group the world s largest alternative investment firm. In Pursuit of Better we deliver exceptional customer experiences to Blackstone and its portfolio companies that enable them to thrive. Revantage provides a highly skilled employee base and stateoftheart technology to further our key focus on providing best in class Corporate Services to multiple Blackstone real estate portfolio companies. Sectors include Hospitality Industrial MultiFamily Office Retail Senior Housing and Manufactured Homes.
Revantage Europe headquartered in Luxembourg is one of three global offices that includes Revantage Asia and Revantage North America.
What We Value Our Culture
Creating a culture that inspires change and momentum requires the right team. We know what it takes to lead an industry and are looking for leaders who seek constant growth want to excel and continuously improve upon themselves and the industry. The culture at Revantage is built on our shared core values and commitment to be:
Why This Role Is Valuable
Revantage Treasury are looking for an experienced energetic and dynamic Treasury Manager to join their growing and evolving team. This Treasury expert will support the implementation of changes in the system team and processes she/he will also guide and manage part of the team.
The role will be mainly focused on the following areas:
Reporting to: Senior AVP Treasury Operations Lead.
Responsibilities (including but are not limited to):
Act as a key partner for the implementation of a robust Cash Management with the setup of the organisation s first IHB and cash pooling;
Coordinate onboarding and maintenance of all the entities sitting under the fund;
Scale up treasury with the operational supervision of all the internal and external financings;
Steer the FX management centralization and manage excess cash deposits to minimise negative interests;
Identify and advise on FX requirements and oversee FX trades;
Assist with the implementation of a revised policies and procedure.
Supervise Cash balances: reporting analysis and advisory on the cash sitting across the projects;
Treasury transactions and related payments oversight.
Review and enhance Treasury reporting s to proactively manage control and supervise our treasury operations on the full spectrum of activities;
Analyse large datasets model and interpret data.
Act as the single point of contact with the relationship management midoffice and operational teams of our banks;
Manage the banks accounts requirements;
Followup on the quality and efficiency of the services provided by our banks as well as a regular review of their fees;
Act as a coordinator for all banking administrative tasks and with the support of our back office team.
What You Bring To The Role
Perks for You
Int ress (e) par cette opportunit
Votre candidature sera trait e de mani re confidentielle vous pouvez nous la transmettre d s pr sent par mail : ou par t l phone au :
Full Time