Loading jobs…
Loading jobs…
Concierge (M-F, 4pm-12am) - Lease-up — Uniondale, New York
Headquartered in New York with a nationally-scaled platform, RXR is a 450+ person, vertically integrated investment manager with expertise in a wide array of value creation activities, including acquisitions, asset and portfolio management, property operations, development, construction, leasing, and technological innovation. RXR is an active investor in real estate credit, rental housing, commercial property, and property technology through value-added and opportunistic investment strategies. ROLE SUMMARY RXR is seeking a detail-oriented and highly organized Treasury Analyst to support treasury operations, banking relationships, cash management activities, and treasury controls.
Reporting directly to the Treasurer, this role will be responsible for maintaining bank account administration, supporting cash positioning and liquidity activities, overseeing treasury system administration, managing banking documentation, and ensuring adherence to internal controls. KEY ACCOUNTABILITIES Bank Account Management Administration • Maintain the bank account master database. • Coordinate bank account openings and closures.
Requirements
and banking documentation. Treasury Controls Governance • Administer banking platform user access. • Review internal transfer requests and supporting documentation.
• Support treasury policies and internal controls. Cash Management Treasury Operations • Monitor daily cash balances and banking activity. • Assist with funding needs and overdraft resolution.
• Escalate recurring treasury issues. Treasury Systems Technology • Support Kyriba administration and treasury systems. • Coordinate bank connectivity and user administration.
• Perform data validation and reporting checks. Reporting Documentation • Maintain bank statements and treasury records. • Prepare interest income schedules and treasury reporting.
• Support audits and lender reporting requests. Vendor Banking Controls • Maintain vendor banking records. • Validate wire instructions and payment controls.
Cross-Functional Partnership Issue Resolution • Partner with AP, AR, Accounting, and Operations teams. • Investigate banking exceptions and payment issues. • Support continuous process improvement initiatives.
Card Administration Administer the Company's corporate credit card and purchasing card programs, including card issuance, maintenance, spending limit updates, user access changes, card cancellations, and coordination with banking partners to ensure compliance with company policies and internal controls. Monitor card program documentation, maintain cardholder records, and assist with resolving card-related issues, fraud alerts, disputed transactions, and account inquiries.
TOP COMPETENCIES • Treasury Cash Management Fundamentals • Accountable • Attention to Detail • Problem Solver • Communicates Effectively • Systems Proficiency • Organizational Agility • Builds Relationships EXPERIENCE EDUCATION Bachelor’s degree in Finance, Accounting, Business, Economics, or related field. 0-2 years of treasury, banking, accounting, or finance experience preferred. Strong Excel proficiency Familiarity with financial systems and banking platforms is a plus.
Demonstrated attention to detail, organization, and analytical skills. Strong written and verbal communication skills. Ability to manage multiple priorities in a fast-paced environment.
OUR CORE VALUES • We believe in doing the right thing. • We believe in leading with bold ideas. • We believe in striving for excellence.
• We believe in staying humble, and hungry. • We believe in cultivating trusted relationships. • We believe in acting like an owner.
Compensation
that may be offered to a successful applicant for this position at the time of this job advertisemen