Manager, Treasury

BKM Capital Partners

  • Newport Beach, CA
  • 11 days ago

    Highlights

    The Treasury Manager will lead the Companys day-to-day treasury function, with responsibility for cash management and forecasting, liquidity planning, banking relationships, Accounts Payable, Accounts Receivable, and loan draw activities across BKMs corporate and property-level entities. The Treasury Manager will work closely with senior Finance & Accounting leadership, Property Management, Asset Management, Construction Management, and other teams across the organization to ensure efficient management and movement of cash throughout the platform.

    Numbers & Facts

    LocationNewport Beach, CA

    Description

    BKM Capital Partners is a growing real estate private equity firm seeking a driven, experienced professional to join our Newport Beach, California office. The Treasury Manager will lead the Companys day-to-day treasury function, with responsibility for cash management and forecasting, liquidity planning, banking relationships, Accounts Payable, Accounts Receivable, and loan draw activities across BKMs corporate and property-level entities.

    This position will oversee a small team of Treasury professionals and will be responsible for maintaining strong processes, controls, and reporting across the treasury function. The Treasury Manager will work closely with senior Finance & Accounting leadership, Property Management, Asset Management, Construction Management, and other teams across the organization to ensure efficient management and movement of cash throughout the platform.

    This role is 100% in-office due to the collaborative nature of our business.

    Essential Functions

    Treasury & Cash Management

    • Lead the Companys day-to-day treasury operations across corporate and property-level entities.
    • Oversee cash positioning and liquidity across the organization, ensuring sufficient cash is available to meet operating, debt service, and other funding requirements.
    • Lead the preparation and maintenance of short- and medium-term cash forecasts, incorporating expected operating activity, capital expenditures, debt activity, acquisitions, dispositions, and other significant cash flows.
    • Monitor actual cash activity against forecasts and identify material variances, upcoming liquidity needs, and potential funding issues.
    • Coordinate cash movements, intercompany transfers, and other treasury activities to efficiently manage liquidity across the organization.
    • Maintain appropriate cash reserves and help identify opportunities to optimize excess cash balances.
    • Develop and maintain treasury reporting that provides Finance leadership with clear visibility into cash balances, liquidity, upcoming funding requirements, and other key treasury metrics.
    • Establish and maintain appropriate treasury policies, procedures, internal controls, and approval processes.
    • Identify opportunities to automate and improve treasury processes, controls, reporting, and systems.

    Banking & Financial Institution Relationships

    • Serve as a primary point of contact for the Companys day-to-day banking relationships.
    • Manage bank account administration, including account openings and closings, authorized signers, user access, payment permissions, and other banking controls.
    • Oversee banking services and platforms, including ACH, wires, positive pay, fraud prevention, and other treasury management services.
    • Review and monitor banking fees and service arrangements and proactively identify opportunities to improve pricing and reduce unnecessary costs.
    • Periodically evaluate the Companys banking structure and recommend opportunities to consolidate accounts, improve efficiency, strengthen controls, or optimize services.
    • Coordinate with banking partners to resolve operational issues and implement new treasury products and services as appropriate.
    • Maintain strong controls over bank account access and payment authority and periodically review user permissions and approval structures.

    Accounts Payable & Accounts Receivable

    • Oversee the Companys Accounts Payable and Accounts Receivable functions across corporate and property-level entities.
    • Manage the Treasury teams execution of invoice processing, payment workflows, collections, cash application, and related activities.
    • Monitor AP and AR aging and ensure outstanding items, approval bottlenecks, collection issues, and other exceptions are actively addressed.
    • Ensure payments are processed accurately and timely and in accordance with established approval policies and internal controls.
    • Coordinate with Property Management, Accounting, Asset Management, Construction Management, and other departments to resolve payment and collection issues.
    • Maintain appropriate controls over vendor setup, payment changes, and cash disbursements to mitigate fraud and operational risk.
    • Develop and monitor key AP and AR performance metrics, including processing times, aging, outstanding approvals, collections, and other relevant measures.
    • Lead continued improvement and optimization of the Companys AP and AR processes, systems, reporting, and controls.

    Loan Draws

    • Lead the Companys loan draw process across the property portfolio and ensure eligible project costs are identified, documented, submitted, and funded timely.
    • Oversee the review and tracking of loan draw requirements, including eligible costs, documentation requirements, funding thresholds, timing requirements, and other lender provisions.
    • Coordinate with Construction Management, Property Management, Asset Management, Accounting, and other teams to identify reimbursable costs and maximize the timely recovery of capital from lender-controlled reserves and holdback facilities.
    • Oversee the preparation, review, and submission of loan draw packages and ensure required invoices, proof of payment, lien waivers, project documentation, and other supporting materials are complete and accurate.
    • Maintain visibility into submitted draws, outstanding lender requests, funded amounts, remaining loan availability, and expected funding dates.
    • Ensure the Treasury team actively follows up with lenders and loan servicers on outstanding draws and promptly addresses lender questions or documentation requests.
    • Escalate material delays, funding issues, or potential covenant and eligibility concerns to Finance leadership.
    • Review funded draws against submitted requests and coordinate with Accounting to ensure proceeds are appropriately recorded and applied.
    • Continuously improve and standardize the Companys loan draw process, tracking, documentation, and reporting across the portfolio.

    Team Leadership & Management

    • Manage, develop, and provide day-to-day leadership to a small team of Treasury Analysts and Senior Treasury professionals.
    • Establish clear responsibilities, priorities, deadlines, and performance expectations for the Treasury team.
    • Review team deliverables for accuracy, completeness, and timeliness while maintaining appropriate segregation of duties and internal controls.
    • Develop team members through ongoing coaching, feedback, training, and increased responsibility.
    • Establish a disciplined operating cadence for AP, AR, loan draws, cash forecasting, and other recurring treasury activities.
    • Build scalable processes and procedures that support the continued growth of the Companys investment and operating platform.
    • Partner closely with Finance & Accounting leadership and other departments to continuously improve the effectiveness of the treasury function.

    The Qualifiers

    • Bachelors degree in Finance, Accounting, Business Administration, Economics, or a related field required.
    • 5 - 7 years of experience in treasury, corporate finance, accounting, commercial real estate, banking, or a related financial environment.
    • Prior experience of managing or supervising team members is strongly preferred.
    • Commercial real estate, real estate private equity, or investment management experience preferred.
    • Strong understanding of cash management, cash forecasting, liquidity management, banking operations, and payment processes.
    • Certified Treasury Professional ("CTP") preferred.
    • Experience with a Treasury Management System ("TMS"), especially Kyriba, preferred.
    • Experience overseeing Accounts Payable and/or Accounts Receivable processes strongly preferred.
    • Experience managing banking relationships, bank account administration, and treasury management services preferred.
    • Experience with Yardi or similar real estate accounting and property management systems preferred.
    • Strong analytical, organizational, and problem-solving skills with exceptional attention to detail.
    • Ability to manage multiple priorities and deadlines in a fast-paced, entrepreneurial environment.
    • Strong leadership skills with the ability to develop team members and create accountability.
    • Excellent written and verbal communication skills and the ability to work effectively across departments and with external partners.
    • Motivated and results-driven with a strong work ethic.
    • Demonstrates the highest ethical standards.
    • Champion the use of AI and emerging technologies to improve process efficiency.

    The Perks:

    • Competitive Pay + Bonus Eligible
    • Medical, Dental, Vision, Life Insurance, Short & Long Term Disability, Pet Insurance, Etc.
    • Paid Time Off
    • 401k Plan + Company Match
    • Professional Development Resources
    • Fun Work Vibe (Indoor basketball/gym, creative office space, team-building events, company training opportunities, and much more!)

    Similar Jobs