The Cash Management team is responsible for handling all cash events within the Funds. Day to day tasks include but are not limited to processing wires, cash reconciliation, maintaining bank accounts/relationships, actioning audit requests, collateral management, performing ongoing analysis to reduce cash drag, coordinating with administrators and trustees, and assisting in liquidity analysis to ensure the Funds have sufficient cash on hand to cover all upcoming funding obligations. The Cash Management team interacts closely with the Deal Execution, FX Hedging, Fund Accounting, Fund Finance, Middle Office, Tax, Valuations, Luxembourg, and Deal teams.
Position Description PFS is seeking to recruit an Associate to join the Operations – Cash Management team based in Mumbai. The individual should be highly organized with exceptional attention to detail. They should have the ability to meet strict deadlines, as well as work independently and as part of a team. A desire for a fast-paced environment is crucial.