Principal, Treasury
Company: Ares Operations
Location: Los Angeles
Posted on: April 1, 2026
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Job Description:
Over the last 20 years, Ares’ success has been driven by our
people and our culture. Today, our team is guided by our core
values – Collaborative, Responsible, Entrepreneurial, Self-Aware,
Trustworthy – and our purpose to be a catalyst for shared
prosperity and a better future. Through our recruitment, career
development and employee-focused programming, we are committed to
fostering a welcoming and inclusive work environment where
high-performance talent of diverse backgrounds, experiences, and
perspectives can build careers within this exciting and growing
industry. Job Description The Ares Corporate Treasury Department is
responsible for capital planning, global cash and liquidity
management, and foreign exchange risk mitigation across the
organization’s multi ? jurisdictional footprint. The department
supports the business through several key functions spanning North
America, EMEA, and Asia ? Pacific, ensuring effective treasury
operations across diverse regulatory, banking, and market
environments , including : Balance Sheet Management: Developing
strategies to leverage and monetize current and forecasted balance
sheet assets across global entities and jurisdictions , while
optimizing capital efficiency at both the corporate and regional
levels . Capital Markets: Monitoring equity, debt, and loan capital
markets to execute fundraising transactions that support
anticipated capital requirements across multiple currencies and
international market s. Liquidity and Cash Management: Forecasting
and monitoring global cash needs, managing multi currency liquidity
structures, and facilitating cross border transactions to support
international entities and investment platforms. Foreign Exchange
Risk Management: Identifying , evaluating, and executing derivative
transactions to mitigate currency risks. The Principal, Treasury
will provide strategic leadership for the company’s global treasury
function while maintaining a highly hands - on operating role. In
addition to setting direction, this role is expected to personally
execute and review critical treasury activities, partner directly
with stakeholders, and remain deeply involved in day - to - day
cash, liquidity, and risk management across the organization. This
role requires deep expertise in treasury systems, experience
operating in complex international environments, and a strategic
mindset to drive global process standardization while accommodating
regional requirements. Supervises: Corporate Treasury Team – 3-5
Primary functions and essential responsibilities Oversee global
cash management operations, including multi currency cash pooling,
intercompany funding structures, and short - term investment
management across regions . Support treasury activities for fund
groups, including Secondaries, Private Equity, and Co-investment.
Manage credit facility activities, including forecasting facility
requirements. Oversee enterprise - wide liquidity forecasting and
coordinate with regional finance teams across time zones to ensure
optimal global cash positioning . Collaborate with the Capital
Solutions team to assess and monitor foreign exchange, interest
rate, and counterparty risks. Partner with senior leadership to
develop and implement treasury strategies aligned with corporate
objectives . Serve as the subject matter expert for treasury
workstations (e.g., Kyriba, FIS), including global system
governance, regional workflow optimization, and integration with
enterprise platforms . Lead treasury initiatives to optimize
liquidity, cash forecasting, and working capital management. Drive
enhancements and automation projects to improve visibility,
efficiency, and accuracy in liquidity forecasting, cash management,
payment processing, and reporting. Manage global cash positioning,
banking relationships, and ensure compliance with internal controls
and regulatory requirements. Build, maintain , and strengthen
banking relationships; negotiate terms and manage associated fees.
Ensure compliance with internal controls, SOX requirements, and
country ? specific regulatory standards . Support global corporate
treasury responsibilities, including rating agency relationships,
financial commitments tracking , and other strategic transactions.
Lead the preparation, delivery, and presentation of global treasury
reports to executive leadership. Qualifications Education:
Bachelors Degree or equivalent Experience Required: 10 years of
experience in global Treasury or investment management.
Demonstrated track record in hands - on treasury execution,
including direct involvement in cash management, liquidity
forecasting, banking operations, and system driven processes.
Demonstrated experience partnering with business units to drive
operational efficiency and collaborative outcomes. Comprehensive
knowledge of treasury operations, including banking and cash
management/forecasting in both U.S. and international contexts.
Proficiency with treasury tools and banking portals , including f
amiliarity with various payment methods and flows (local and
cross-border wires, ACH). Strong technical acumen for solving
complex problems using enterprise tools (report writers, SQL,
Excel, Tabl eau / PowerBI , Anaplan, etc.). Experience in
front-office investment and business operations. Proven ability to
lead process improvement and automation initiatives. Exceptional
relationship management skills with banks and both internal and
external stakeholders. General Requirements: Flexibility regarding
role scope and willingness to take on new projects and acquire new
skills. Outstanding written and verbal communication, presentation,
documentation, and interpersonal skills; strong customer focus.
Ability to manage multiple priorities and competing demands; strong
time management and prioritization skills. High degree of accuracy
and attention to detail; confident decision-making abilities.
Ability to extract and synthesize meaningful insights from
extensive research and analysis, presenting findings in a clear and
digestible format. Sound judgment in escalating issues versus
resolving problems independently. Analytical mindset with a passion
for process efficiency and innovation. Comfort with ambiguity and
uncertainty in a dynamic, fast-paced environment. Flexibility in
working hours to coordinate with team members across various time
zones. Reporting Relationships Compensation The anticipated base
salary range for this position is listed below. Total compensation
may also include a discretionary performance-based bonus. Note, the
range takes into account a broad spectrum of qualifications,
including, but not limited to, years of relevant work experience,
education, and other relevant qualifications specific to the role.
$230,000 - $260,000 The firm also offers robust Benefits offerings.
Ares U.S. Core Benefits include Comprehensive Medical/Rx, Dental
and Vision plans; 401(k) program with company match; Flexible
Savings Accounts (FSA); Healthcare Savings Accounts (HSA) with
company contribution; Basic and Voluntary Life Insurance; Long-Term
Disability (LTD) and Short-Term Disability (STD) insurance;
Employee Assistance Program (EAP), and Commuter Benefits plan for
parking and transit. Ares offers a number of additional benefits
including access to a world-class medical advisory team, a mental
health app that includes coaching, therapy and psychiatry, a
mindfulness and wellbeing app, financial wellness benefit that
includes access to a financial advisor, new parent leave,
reproductive and adoption assistance, emergency backup care,
matching gift program, education sponsorship program, and much
more. There is no set deadline to apply for this job opportunity.
Applications will be accepted on an ongoing basis until the search
is no longer active.
Keywords: Ares Operations, Bellflower , Principal, Treasury, Accounting, Auditing , Los Angeles, California