Firm Overview:
H.I.G. Capital is a leading global private equity investment firm with $75 billion of assets under management with a focus on the mid cap segment of the market. The H.I.G. family of funds includes private equity, growth equity, real estate, direct lending, special situation credit, and growth-stage healthcare. We focus on providing capital to businesses with attractive growth potential and align ourselves with committed management teams and entrepreneurs to help grow businesses of significant value. Our team of over 500 investment professionals has substantial operating, consulting, technology, and financial management experience, enabling us to contribute meaningfully to our portfolio companies. H.I.G. is based in Miami, with offices in Atlanta, Boston, Chicago, Los Angeles, New York, and San Francisco, and affiliate offices in Hamburg, London, Luxembourg, Madrid, Milan, and Paris in Europe as well as Bogotá, Rio de Janeiro, and São Paulo in Latin America, Dubai in the Middle East, and Hong Kong in Asia.
Role Overview:
Join H.I.G. Capital's Corporate Treasury Department as a Treasury Analyst, reporting to the Treasury Manager, located at our corporate headquarters. In this role, you will play a hands-on part in global cash management operations and a broad range of Treasury responsibilities, with special emphasis on serving as the liaison for the Treasury Management System. This is an excellent and ideal opportunity for the right professional to combine their System and Banking knowledge with a dynamic global company, and to grow their career at the intersection of finance and technology. This is a hybrid role located in our Coral Gables, Florida office.
Role Responsibilities:
Treasury Systems
Oversee Template Management in the Treasury System
Support Creating Payment Upload Files directly to the Treasury System
Serve as the Liaison to internal clients for online reporting and bank related questions
Daily and monthly reporting for Treasury Operations bank reports, statements, confirmations and treasury backups to Accounting and Audit Staff
Offer recommendations for Process Improvements
Global Banking and Wire Payments
Perform Wire Payment processing for various internal and external company transactions
Wire transfer initiation, funding support for various intra company accounts
Provide wire and SWIFT confirmations to internal clients and accounting teams
Perform FX Trades & Contract confirmations and settlement operations.
Work closely with the Treasury Manager and Treasury Staff, and serve as back-up when needed
Work on Special Projects for the Treasury Dept. as required.
Check deposit
EFTPS payments
Bank Account Database Management
Coordinate account, closings
Maintain accurate and complete records in the master account database
Requirements & Qualifications:
Bachelor’s degree in Finance, Accounting or related field is required.
Minimum of 1-2+ years experience in a Banking or Global Finance Environment
Proficiency using online bank portals with Wires, ACH, EFT and FX Transactions
Excellent Data Analysis, MS Office skills, particularly Excel Macros, V-Look Up and Pivot Tables
Extremely detail oriented with strong organizational skills with the ability to prioritize work effectively
Ability to multi-task in a fast paced and demanding environment.
Ability to communicate to executive leadership.
Excellent time management skills, communication, decision making, and organizational skills.
Ability to analyze and resolve moderately complex problems.
Ability to work in a cross-functional and team environment.
Proven analytical, critical thinking and decision-making skills.
Excellent verbal and written communication skills.
Skills Required
- Bachelor's degree in Finance, Accounting, or a related field
- 1-2+ years of experience in a banking or global finance environment
- Proficiency with online bank portals and wire, ACH, EFT, and FX transactions
- Data analysis proficiency
- Microsoft Office proficiency, particularly Excel Macros, VLOOKUP, and Pivot Tables
- Strong attention to detail and organizational skills
- Ability to prioritize and multitask in a fast-paced environment
- Ability to communicate with executive leadership
- Strong time management, communication, decision-making, and organizational skills
- Ability to analyze and resolve moderately complex problems
- Ability to work cross-functionally and collaboratively
- Analytical, critical thinking, and decision-making skills
- Excellent verbal and written communication skills
What We Do
H.I.G. Capital is a leading global private investment firm with $62 billion of equity capital currently under management.* H.I.G.'s family of funds includes private equity, real estate, growth equity and debt/credit. H.I.G. Capital has invested in and controlled over 400 organizations globally since it was founded more than 20 years ago. The firm currently manages a portfolio of companies with combined sales in excess of $53 billion. H.I.G. is based in Miami, with offices in New York, Boston, Chicago, Dallas, Los Angeles, San Francisco and Atlanta, and affiliate offices in London, Hamburg, Luxembourg, Madrid, Milan and Paris in Europe as well as Bogotá, Rio de Janeiro and São Paulo in Latin America and Dubai in the Middle East. H.I.G. focuses on providing capital to small and mid-sized businesses with attractive growth potential. The firm invests in management-led buyouts and recapitalizations of well-managed and profitable manufacturing and service businesses. H.I.G. Capital also has extensive experience with operational turnarounds and financial restructurings. The firm has a proven strategy built around; (1) a flexible investment approach which emphasizes speed as well as responsiveness; (2) a large team with unique skills and capabilities, as well as a "can-do" approach; (3) a long-standing focus on small and medium sized businesses typically from $50-500 million in value, as well as an understanding of the challenges and opportunities these business present. * Based on total capital raised by H.I.G. Capital and its affiliates.








