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Treasury/Capital Markets Accounting Manager
LHH
linkedin
Atlanta Metropolitan Area
5-10 years
120K-160K
Full time
17 April 2026
Top Skills:
AccountingAccounting SystemAdministrationBankingCapital MarketCashCash ManagementFinancial ModelingFutureInternal ControlLiquidity ManagementPayment ProcessingProcess ImprovementReportingSecuritizationSystem Integration

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Job Description iconJob Description
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LHH is partnering with a well-capitalized, growing financial platform to add a Treasury / Capital Markets accounting professional who wants real exposure across liquidity management, structured finance, and strategic initiatives.


This is not a back-office role — it’s a high-visibility position working cross-functionally with leadership, credit, and external partners to drive key financial operations and long-term growth initiatives.


What you’ll be doing:

• Support structuring initiatives tied to warehouse facilities and future securitization strategies

• Analyze underlying asset pools (loans, receivables, etc.) to assess performance and risk

• Partner on capital markets activity including modeling, diligence, and transaction support

• Prepare materials and reporting for internal stakeholders and external partners/investors

• Monitor daily liquidity, cash positioning, and overall treasury activity

• Oversee wire approvals, payment processing, and internal controls across cash movements

• Manage banking relationships, including account setup, maintenance, and documentation

• Assist with loan administration and coordination with lending partners

• Identify process improvements across treasury operations and reporting workflows

• Track bank fees, reconcile activity, and support accounting system integrations

• Stay on top of market trends, regulatory developments, and structured finance dynamics


Why this role stands out:

• Broad exposure across treasury + capital markets + structured finance

• Opportunity to work on future ABS / securitization initiatives

• Highly collaborative environment with direct visibility to decision-makers

• Strong runway for growth as the platform continues scaling


Background we’re targeting:

• ~5+ years in Treasury, Banking, Finance, or Accounting

• Strong Excel / financial modeling skillset

• Experience with cash management, liquidity, or lending structures

• Analytical mindset with the ability to interpret data and drive insights

• Comfortable operating in a fast-moving, evolving environment