Responsibilities:
- Coordinate the daily cash posting process in the ERP across management companies, general partners, and affiliated entities
- Coordinate closely with AP and AR teams to ensure accurate and timely recording of cash receipts and disbursements
- Manage bank balance circulation to key stakeholders and maintain the bank statement data room
- Performing bank reconciliation
- Drive efficiencies across all cash and treasury management functions through process improvements and technology enhancements
- Assist in ad hoc requests, technology initiatives, and special projects
- Provide support for and analysis of new business initiatives for firm growth
Requirements
The individual will have demonstrated an ability to work in a fast paced, performance driven environment with an ability to think broadly about the business, incorporating continual improvement of processes and procedures with a goal of excellence while focusing on accuracy and efficiency
•Fully qualified CA/CPA with 0-1 years’ experience
•Strong excel skills
•NetSuite knowledge is plus
Skills Required
- Fully qualified CA or CPA
- 0–1 years of accounting experience
- Strong Microsoft Excel skills
- NetSuite knowledge
- Ability to work accurately and efficiently in a fast-paced, performance-driven environment
- Ability to improve accounting processes and procedures
What We Do
Arena Investors is an institutional asset manager that provides creative solutions for those seeking capital in special situations. Arena brings decades of experience, a track record of comfort with complexity, the ability to deliver within time constraints, and the flexibility to engage in transactions that cannot be addressed by banks and other conventional financial institutions. Arena’s mandate is global, and also unconstrained in terms of asset class and industry.


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