Job Description
Pagaya is seeking a Treasury Analyst to evaluate and operationalize its financial efforts. The Treasury Analyst will manage cash and liquidity operations, gain knowledge of Pagaya’s activities, and help create structured financial processes.
Responsibilities include:
- Managing Pagaya's cash and liquidity operations.
- Planning cash operations throughout all purchasing accounts.
- Gaining knowledge of Pagaya’s operational, business, and technological activities.
- Helping create structured financial processes.
Requirements:
- B.A/ M.A/ MBA graduate (economics, business, finance).
- 3+ years of experience in payment/liquidity/treasury operations in an international organization.
- General accounting/bookkeeping experience.
- Experience analyzing cash data and projecting future cash flows.
- Advanced Excel skill set.
- Understanding of asset management in the fixed income securities space.
- Ability to work as part of a cross-Atlantic team.
- Ability to work in a high-paced environment.
- Ability to independently learn new subjects.
- Very high level of English (verbal and written).
Pagaya offers:
- A culture based on partnership, collaboration, and community.
- Opportunities to solve new and exciting challenges.
- Benefits programs and perks to support health, happiness, and productivity.