Treasury Manager at Bridge33 Capital
Manila, Metro Manila, Philippines -
Full Time


Start Date

Immediate

Expiry Date

25 May, 26

Salary

0.0

Posted On

24 Feb, 26

Experience

2 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Cash Management, Reconciliations, Reporting, Operational Controls, Liquidity Monitoring, Bank Account Management, Payment Processing, Cash Flow Forecasting, TMS Implementation, Data Integrity, Excel, Google Sheets, Intercompany Accounting, Audit Trail Maintenance, Process Improvement, Stakeholder Management

Industry

Real Estate

Description
POSITION SUMMARY: Bridge33 Capital is a fast-growing, vertically integrated private equity firm focused on open-air strip retail. The Treasury Manager will support Bridge33’s treasury and cash operations function by executing daily cash management, reconciliations, reporting, and operational controls. This role will work closely with onshore treasury leadership and fund finance to ensure accurate, timely, and scalable cash visibility across funds, assets, and corporate entities. The role will play a key part in supporting the implementation, adoption, and ongoing optimization of the company’s Treasury Management System (TMS). This position is a key component of Bridge33’s Treasury 2.0 transformation and TMS implementation. ESSENTIAL DUTIES AND RESPONSIBILITIES: Cash Operations · Prepare daily consolidated cash position reports · Monitor bank balances across all entities and accounts · Track intercompany cash movements · Support daily liquidity monitoring · Assist with cash allocation and funding workflows Bank & Account Management · Maintain bank account master data · Support bank connectivity and data feeds (via TMS) · Assist with new account setup and documentation · Monitor transaction activity for anomalies Reconciliations · Perform daily/weekly bank reconciliations · Support intercompany cash reconciliations · Investigate and resolve reconciling items · Coordinate with accounting and AP teams on discrepancies Payments & Controls · Prepare payment batches in TMS / banking platforms · Validate payment supporting documentation · Ensure approvals are obtained by policy · Maintain audit trail for all cash movements · Support dual-control and segregation-of-duties processes Reporting & Analytics · Produce weekly liquidity and cash flow reports · Maintain 13-week cash forecast support schedules · Prepare variance analyses vs forecast · Support distribution and capital call reporting · Maintain standardized treasury reporting templates Systems & Process Support · Support Treasury Management System (TMS) implementation, configuration, testing, and ongoing optimization · Maintain data integrity, mappings, and workflows within the TMS · Assist with system testing and enhancements · Maintain treasury SOPs and documentation · Support automation initiatives · Participate in continuous improvement projects Stakeholder Support · Interface with Fund Finance, Accounting, and FP&A teams · Provide data for audit and compliance requests · Support ad hoc cash and liquidity analysis · Check emails daily (manage personal inbox, accounting inbox) · Perform other duties as assigned Required · Bachelor’s degree in finance, Accounting, Economics, or related field · 2–5 years’ experience in treasury, accounting, finance operations, or banking · Strong Excel / Google Sheets skills · Experience with bank reconciliations and cash reporting · High attention to detail · Strong organizational skills Preferred · Experience supporting multi-entity environments · Hands-on experience with Treasury Management Systems (e.g., Trovata, Kyriba, GTreasury, Reval, or similar) · Experience in real estate, private equity, or investment management · Understanding of intercompany accounting · CPA / CMA / CTP candidate (or interest) · Experience working with offshore/onshore teams Technical Skills · Advanced Excel (pivot tables, lookups, modeling support) · Financial systems / ERPs · Online banking platforms · Treasury Management Systems (TMS) · Document management tools · Workflow / approval tools Core Competencies · Detail-oriented and highly accurate · Process-driven mindset · Strong follow-through · Comfortable with structured routines · Able to work independently · Responsive and reliable · Comfortable in regulated environments · Professional communication style Career Development This role offers exposure to institutional treasury operations, fund-level capital planning, private equity real estate finance, and systems implementation. High performers may progress into senior treasury, finance analytics, or onshore finance roles. WORKING REQUIREMENTS: Competitive salary Fully remote Fluent in English Will work 8:00 AM to 5:00 PM US Pacific Time (PST)
Responsibilities
The Treasury Manager will execute daily cash management, reconciliations, reporting, and operational controls, while supporting the implementation and optimization of the company’s Treasury Management System (TMS). Key duties include preparing daily consolidated cash position reports, monitoring bank balances, supporting funding workflows, and maintaining bank account master data.
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