Full-Time

Treasury Credit Operations

Confirmed live in the last 24 hours

KKR

KKR

1,001-5,000 employees

Global investment firm managing alternative assets

Venture Capital
Financial Services

Compensation Overview

$100k - $125kAnnually

+ Discretionary Bonus

Junior, Mid

New York, NY, USA

Position requires onsite presence in New York.

Category
Treasury
Finance & Banking
Requirements
  • Bachelor’s degree
  • 1-4 years’ experience in Investment Operations or Treasury Departments, ideally at an alternative asset management firm
  • Knowledge of corporate bonds, loans, asset backed securities, and equities
  • Awareness of risks and controls related to settlement environment and an ability to act swiftly to remedy issues
  • Strong organizational, communication, analytical, and problem-solving skills
  • High level of attention to detail, especially as it relates to the prevention of wire fraud
  • Flexibility and the ability to adapt to change in a dynamic environment
  • Ability to build relationships across teams
  • Treasury and/or securities settlements operations
  • Private credit or equity deal funding
  • Complex alternative asset fund structures
  • Experience with Hazeltree, BMS Everest and/or Advent Geneva
  • Working with outsourced service providers
Responsibilities
  • Review balances and upcoming deal activity to ensure KKR funds have sufficient balances for daily operations.
  • Partner with Complex Liquidity and Cash Management team to recommend facility borrows and repayments, FX swaps, and internal transfers to maximize portfolio yield.
  • Assist Asset Liability Portfolio Servicing group with reconciliation efforts to provide accurate data for internal reporting.
  • Initiate wire payments, including: Drawdowns on revolving credit facilities, Direct deal funding, FX settlements, Collateral movements, Internal cash movements, Quarterly fund distributions, Vendor invoice payments.
  • Perform wire callbacks
  • Support ongoing maintenance and implementation of KKR’s Treasury Management System
  • Daily monitoring of collateral and margin calls. Ensure all collateral movements have been satisfied and all issues are resolved
  • Partner with Derivatives and Liability Management team to set thresholds for risk monitoring and shock analysis to ensure proper cash buffers
  • Liaise with internal clients, custodians, fund administrators, and other counterparties to ensure Treasury related issues are resolved promptly & accurately

KKR & Co. Inc. manages a variety of investment types, including private equity, credit, and real assets, catering to institutional investors, high-net-worth individuals, and retail investors. The firm focuses on acquiring and managing investments to generate returns, earning revenue through management fees, performance fees, and investment income. KKR's investment strategies aim to enhance value by actively managing and improving the operations of its portfolio companies. A key aspect of KKR's approach is its thematic top-down strategy, which identifies macroeconomic trends and targets sectors expected to grow. Additionally, KKR prioritizes sustainability and responsible investing by incorporating environmental, social, and governance (ESG) factors into its investment decisions.

Company Stage

IPO

Total Funding

$34.8B

Headquarters

New York City, New York

Founded

1976

Simplify Jobs

Simplify's Take

What believers are saying

  • KKR's acquisition of Unizo taps into Japan's growing tourism and hospitality market.
  • Investment in Lighthouse highlights KKR's interest in digital transformation in hospitality.
  • Expansion in Zurich strengthens KKR's presence in the European wealth management market.

What critics are saying

  • KKR's acquisition of HCG may face regulatory scrutiny in India.
  • Collapse of Telefonica deal in Peru shows challenges in closing complex international transactions.
  • Unizo acquisition poses integration and financial risks if turnaround strategy fails.

What makes KKR unique

  • KKR integrates ESG factors into its investment processes, emphasizing sustainability.
  • The firm employs a thematic top-down approach, identifying macroeconomic trends for investment.
  • KKR manages multiple alternative asset classes, including private equity and real assets.

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