Fund Treasury Analyst at RRA Capital
Phoenix, Arizona, United States -
Full Time


Start Date

Immediate

Expiry Date

16 Feb, 26

Salary

0.0

Posted On

18 Nov, 25

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Cash Management, Financial Reporting, Reconciliation, Process Improvement, Liquidity Analysis, Communication, Team Collaboration, Attention To Detail, Analytical Skills, Excel Proficiency, Treasury Operations, Fund Accounting, Private Equity, Real Estate Investment, Problem Solving

Industry

Real Estate

Description
Fund Treasury Analyst Phoenix, AZ – RRA Capital is doing something truly unique in the commercial real estate private equity and credit spaces. Led by industry veterans with more than 115+ years of combined experience, we are rethinking traditional approaches to real estate private credit to deliver truly remarkable returns to our investors. Our mission at RRA is simple: “build something awesome.” We do this through a client-centric philosophy, disciplined investment execution, and a team of innovative and driven professionals. We are seeking a highly motivated and detail-oriented Fund Treasury Analyst to join our Finance and Fund Accounting team. This individual will play a critical role in fund-level cash management, leverage facility support, and liquidity reporting across multiple investment vehicles. Working closely with the Fund Accountant, this role will ensure fund operations are executed smoothly, accurately, and in compliance with internal and external requirements. If you thrive in a fast-paced environment, enjoy precision and problem-solving, and want to contribute to the success of a growing private credit platform, we invite you to apply. ROLES AND RESPONSIBILITIES: Manage daily cash activity for multiple funds, including transfers, wires, and journal entries. Prepare and process capital calls, distributions, and management fee payments. Maintain direct working relationships with banks and custodians for wires, transfers, and account setup. Track borrowing base availability and assist with drawdowns/repayments under fund credit facilities; support lender reporting packages, with Fund Controller finalizing and submitting. Reconcile bank activity to fund accounting records and resolve variances promptly. Support monthly and quarterly close by preparing cash reconciliations and schedules for the Fund Accountant. Maintain cash flow forecasts and reporting tools to support investment and financing decisions. Partner with Loan Servicing to tie loan-level activity into fund-level reconciliations. Support annual audits with treasury-related schedules and documentation. Identify and implement process improvements to enhance efficiency, accuracy, and controls in treasury operations. Provide liquidity and cash forecasting analysis, flagging risks and opportunities to senior finance leadership. HERE’S WHAT YOU’LL NEED TO SUCCEED IN THIS ROLE Education: Bachelor’s degree in Accounting, Finance, or related field (or equivalent experience). Professional Experience: 1–3+ years in treasury, fund accounting, or financial services. Technical Skills: Proficiency with Excel and financial systems; experience with accounting or treasury platforms preferred. Attention to Detail: Strong reconciliation and documentation skills; ability to spot and resolve variances quickly. Analytical Ability: Comfort with building and maintaining cash flow forecasts and liquidity reports. Team Orientation: Ability to collaborate with Fund Accounting, Finance, and Servicing teams. Communication: Clear and professional communication with both internal and external stakeholders. Preferred: Experience with private equity, real estate investment funds, or private credit structures. Please Note: At this time, RRA is unable to provide visa sponsorship for this position. COMPENSATION Competitive base salary and bonus structure commensurate with experience BENEFITS Be a part of building something AWESOME. Direct daily access to the firm founders Unlimited vacation days Medical insurance Flexible work life Company 401K plan with match Awesome people to work with every day! OUR CULTURE & CORE VALUES At RRA Capital, we work as a team and treat each other with respect, humility, and good humor. We’ve built a culture that feels more like a family than a firm—and we take pride in holding ourselves and each other to the highest standards of integrity and professionalism. RRA Core Values Passionate About Continuous Improvement – Committed to self-growth and feedback. Enjoyable to Be Around – Team-oriented, professional, and ego-free. Smart – Creative, efficient, and solutions-driven—not academic. Reliable – Self-starters with a deep sense of ownership and follow-through. To Apply If you thrive in an entrepreneurial environment and are excited to contribute to a firm that’s growing with purpose and discipline, we’d love to hear from you. *At RRA Capital, we value applicants of all backgrounds, but we are unable to provide visa sponsorship for this position. Contact: Lisa Donovan Website: www.rracapital.com #LI-LD1
Responsibilities
The Fund Treasury Analyst will manage daily cash activity for multiple funds and prepare capital calls, distributions, and management fee payments. This role also involves maintaining relationships with banks and custodians, tracking borrowing base availability, and supporting audits with treasury-related documentation.
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