GA Actis Senior Associate, Treasury Operations
About General Atlantic
General Atlantic is a leading global investor with more than four and a half decades of experience providing capital and strategic support for over 830 companies throughout its history. Established in 1980, General Atlantic continues to be a dedicated partner to visionary founders and investors seeking to build dynamic businesses and create long term value. Guided by the conviction that entrepreneurs can be incredible agents of transformational change, the firm combines a collaborative global approach, sector specific expertise, a long-term investment horizon, and a deep understanding of growth drivers to partner with and scale innovative businesses around the world. The firm leverages its patient capital, operational expertise, and global platform to support a diversified investment platform spanning Growth Equity, Credit, Climate, and Sustainable Infrastructure strategies. General Atlantic manages approximately $123 billion in assets under management, inclusive of all strategies, as of December 31, 2025, with more than 900 professionals in 20 countries across five regions. For more information on General Atlantic, please visit: www.generalatlantic.com.
Position Overview
We are seeking a Treasury Senior Associate to join our Global Treasury team. This role will provide dedicated treasury operations support to the global treasury team and controllers across Europe and Asia, ensuring accurate payment execution, robust internal controls, and effective treasury system governance.
The ideal candidate will combine capital markets or banking experience with strong operational discipline and hands-on expertise with Kyriba. This role requires precision, strong cross-border coordination, and the ability to operate within a multi-entity, multi-currency environment.
Key Responsibilities
Treasury Operations & Payments
- Execute and oversee domestic and cross-border payments across multiple currencies and jurisdictions
- Partner closely with European and Asian fund controllers to support capital calls, distributions, investments, and operating expenses
- Assist treasury team with global cash and investment reporting and analysis
- Ensure proper payment approvals, documentation, and compliance with internal policies
Bank Account Management
- Coordinate bank account openings, closures, and maintenance across multiple jurisdictions with legal, compliance and accounting teams
- Manage KYC documentation and banking resolutions
- Maintain strong relationships with global banking partners
- Maintain accurate bank account inventories and authorized signatory records
Controls & Governance
- Provide input on treasury controls and maintain related documentation
- Maintain SOX-compliant controls, fraud prevention protocols, and governance standards
- Support internal and external audits as they relate to treasury operations
- Monitor segregation of duties and system entitlements within treasury platforms
Treasury Systems (Kyriba)
- Maintain and administer Kyriba treasury management system controls
- Manage user access, payment workflows, and approval hierarchies
- Support system enhancements, testing, and process automation initiatives
- Ensure integrity of cash positioning, payment files, and reporting within Kyriba
- Partner with external banking partners and consultants to establish and maintain global banking connectivity for payments and reporting
Cross-Regional Coordination
- Act as a key treasury contact for fund operations teams in Europe and Asia
- Support time-sensitive transactions across time zones
- Assist with process improvements and standardization across regions
Qualifications
- Solid experience in Banking, Accounting or Financial Operations, with exposure to treasury-related activities
- Direct experience supporting treasury operations in a multi-regional, multi-currency environment
- Proficiency in Kyriba is required (including payment workflows, user administration, and system controls experience)
- Strong understanding of local banking requirements, global payment systems and routing methods (SEPA, SWIFT, CHAPS, wire transfers, etc.)
- Familiarity with accounting rules, government policies, and general treasury operations
- Experience coordinating bank account management and KYC documentation
- Experience supporting private equity, asset management, or alternative investment fund structures preferred
- Familiarity with European and cross-border regulatory environments
Personal Attributes
- Strong verbal, written, and interpersonal communication abilities
- Ability to manage multiple priorities across regions and time zones
- Strong communication skills and stakeholder management capability
- Proactive problem solver with strong ownership mindset
- Comfortable operating in a fast-paced, transaction-driven environment
General Atlantic is an equal opportunity employer and does not discriminate on the basis of race, color, religion, marital status, age, national origin, ancestry, physical or mental disability, medical condition, pregnancy, genetic information, gender, sexual orientation, gender identity or expression, veteran status, or any other status protected under federal, state, or local law.
By completing this application, you are consenting to General Atlantic’s processing and use of your personal data. Information on how General Atlantic will use and process your data can be found here: https://www.generalatlantic.com/privacy-notice/
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