Director, Treasury
General Atlantic
- Location
- New York - Park Avenue; Stamford
- Work model
- On-Site
- Level
- Staff
- Salary
- $130k – $200k/yr
- Posted
- 3h ago
About this role
About General Atlantic
General Atlantic is a leading global investor with more than four and a half decades of experience providing capital and strategic support for over 885 companies throughout its history. Established in 1980, General Atlantic continues to be a dedicated partner to visionary founders and investors seeking to build dynamic businesses and create lasting value. Guided by the conviction that entrepreneurs can be incredible agents of transformational change, the firm combines a collaborative global approach, sector specific expertise, a long-term investment horizon, and a deep understanding of growth drivers to partner with and scale innovative businesses around the world. The firm leverages its patient capital, operational expertise, and global platform to support a diversified investment platform spanning Growth Equity, Infrastructure, and Strategic Solutions. General Atlantic manages approximately $126 billion in assets under management, inclusive of all strategies, as of March 31, 2026, with more than 900 professionals in 20 countries across five regions. For more information on General Atlantic, please visit www.generalatlantic.com.
Position Summary
We are seeking a Treasury professional to join our team at the Senior Associate or Director Level. This role will support the management of firm and fund-level financing activities, liquidity planning, and risk management initiatives. The ideal candidate will bring strong capital markets experience, analytical rigor, and the ability to operate effectively in a fast-paced investment environment.
This position offers meaningful exposure to financing strategy, lender negotiations, foreign currency risk management, and cross-functional collaboration across capital markets, legal, and finance teams.
Responsibilities
• Manage and oversee firm-level and fund-level financing facilities, including credit lines, subscription facilities, and other structured arrangements
• Support negotiation and execution of financing transactions, including coordination with lenders, legal counsel, and internal stakeholders
• Ensure covenant compliance and reporting requirements across all financing arrangements
• Gather compliance certificates, borrowing base reports, and related lender deliverables
• Analyze liquidity needs and assist with short and long-term cash forecasting
• Execute and monitor foreign currency transactions and hedging strategies
• Monitor interest rate and FX risk exposure and support risk mitigation initiatives
• Maintain strong relationships with banking partners and financial institutions
• Support strategic treasury initiatives and capital structure optimization efforts
• Assist with documentation, internal controls, and treasury process improvements
Qualifications
• 7-10+ years of experience in Banking: Fund Finance, Sponsor Coverage or Capital Markets
• Strong understanding of debt financing structures and capital markets products
• Experience analyzing credit agreements and financing documentation
• Advanced financial modeling and analytical skills
• Strong attention to detail and ability to manage multiple workstreams
• Excellent communication and stakeholder management