Job Title: Head Treasury Operations
We are one of the largest global private markets investment managers, serving over 800 institutional investors worldwide. With USD 152 billion in assets under management and more than 1800 professionals across 21 offices globally, Partners Group is an equal opportunity employer committed to cultural diversity.
The Role:
Partners Group seeks a dynamic and team-oriented Head Treasury Operations to lead their global Treasury team.
About the Job:
The successful candidate will play a critical role in ensuring the delivery of our worldwide corporate treasury operations, including cash and liquidity management, intercompany loans management, bank account and payment infrastructure, as well as advancing the treasury system landscape forward.
Key Responsibilities:
* Lead, guide, and provide mentorship to the 5 members of the treasury operations team, contributing to their professional development and growth.
* Cash Management: Oversee all aspects of daily cash management, including monitoring and managing cash positions, forecasting short-term cash flows, and managing liquidity across various entities within the group.
* Loans Management: Handle IC loans as well as loans directed towards platform initiatives, ensuring efficient execution and up-to-date loan documentation.
* FX and rates management: Identify and steer exposures on the corporate balance sheets.
* Payment Infrastructure Management: Ensure efficient and optimized bank connectivity and banking services across different platforms.
* Treasury Management Systems: Business owner of the core treasury systems (SAP TRM, WSS, TIP, TIS), ensuring they are optimized for performance and evolving needs, working closely with the Finance Applications team and IT.
* Deliver on other treasury operations activities in a structured, customer-focused manner and support the trading team during trading activities.
* Proactively drive value-enhancing treasury initiatives.
* Ensure up-to-date operational procedures and internal policies.
* Work with internal stakeholders, including finance, tax, legal, and risk management teams, to ensure compliance with regulatory requirements and internal policies related to treasury activities.
Requirements:
* Bachelor's degree in finance, economics, accounting, or a related field; professional designations (CTP/SCT/ACT) are a plus.
* Strong leadership and management skills, essential for this role.
* A minimum of 8 years' experience in treasury environments, with a very good understanding of treasury operations, relevant KPIs, and efficiency in treasury operations.
* Strong understanding of treasury systems (e.g., SAP TRM, WSS, TIP, TIS) and payment infrastructures.
* Proven ability to manage large data sets effectively, along with strong analytical skills necessary for decision-making based on KPIs.
* A proactive approach toward problem-solving combined with excellent interpersonal skills suitable for working collaboratively within cross-functional teams.
* Excellent communication and interpersonal skills.
* Strong appetite for working in a fast-growing, entrepreneurial environment, self-motivated with a hands-on attitude.
* Proficient in English; German a plus.
What We Offer:
Partners Group is a global financial institution that retains the culture, pace, and agility of a start-up. As a growing firm, we are committed to attracting, developing, and retaining the very best talent by offering a workplace where results are truly recognized and rewarded. We offer a fantastic opportunity for you to grow:
* Professional, international working environment.
* Challenging, rewarding career within a growing company.
* Collaborative environment, with on-the-job training and mentorship opportunities.
* One-month sabbatical after every five years of service.
* Education assistance program.
* Fun office and team events, including volunteer opportunities to connect with and help our local communities.