Director, Treasury & Capital Markets

Alumni Ventures
DirectorVenture CapitalOn-site
Location

Manchester, United States

Region

Americas

Stay ahead of the market

Get instant notifications when new job openings matching "Venture Capital / Director jobs in Manchester, United States" are published.

About This Role

Job Application for Director, Treasury & Capital Markets at Alumni Ventures

Alumni Ventures is one of the world’s most active venture capital platforms, with $1.4B+ in assets raised and investments in 1,600+ companies. Our network of 850,000+ members and 40+ dedicated investors connects accredited individuals to high-quality venture deals—typically reserved for institutions—through our alumni-driven communities and diversified co-investment strategy. With offices in Boston, New York, Chicago, Menlo Park, Manchester, NH, London and Tokyo we’re rapidly growing and committed to fueling entrepreneurial success while developing the next generation of VC professionals.

We believe our best work happens when we’re together. AV operates as a 5-day-a-week, in-office culture because collaboration, mentorship, and shared momentum matter.

The Director, Treasury & Capital Markets is Alumni Ventures’ senior owner of cash, liquidity, and financial-risk activities. In this hands-on leadership role you will manage every aspect of banking, trading, and capital-management while partnering with colleagues across Finance and Investments to ensure seamless funding and optimized returns. You will shape policy, embrace AI to champion technology-driven process optimization, and represent AV with external counterparties.

We believe our best work happens when we’re together. AV operates as a five-day-a-week, in-office culture because collaboration, mentorship, and shared momentum matter.

Manage and supervise all aspects of AV’s Treasury and Capital-Management functions

Oversee enterprise-wide cash and crypto currency management, liquidity forecasting, and financial-risk management

Maintain and deepen relationships with banks, custodians, and other financial institutions

Ensure compliance with applicable financial regulations, internal controls, and audit standards

Direct execution and settlement of investment-portfolio cash flows—including deal closings, distributions, and other transactional activity

Manage holding and disposition of public-security and digital-asset positions (cryptocurrencies, tokens, etc.), monitoring market-risk limits and custody controls

Optimize interest income and earnings credits on corporate and fund cash balances

Drive continuous improvement initiatives that leverage AI, automation, and modern treasury-management systems to increase efficiency, accuracy, and real-time insight

Ensure accurate maintenance of bank accounts, balances, treasury systems, and related expense controls

Collaborate extensively with Corporate Finance, Fund Accounting, and Tax teams to oversee and process cash-flow activity (investments, management-fee draws, distributions, carry payouts, AP, etc.)

Provide support and oversight on broader Finance initiatives and ad-hoc projects, partnering with the Controller as needed

Manage, mentor, and develop the treasury team to support operational excellence and professional growth

Foster a culture of accountability, ...

Apply for this Position

You will be redirected to the original job posting.

Browse Related Jobs

Similar Jobs