Digitalbridge

Senior Treasury Analyst

Luxembourg Full Time

Digitalbridge is looking for a Senior Treasury Analyst that will play a key role in supporting EMEA treasury operations with a strong focus on bank account management, liquidity management, fund-level activities, and FX exposure oversight. This position will partner closely with the VP of Treasury to manage multi-entity cash operations, banking relationships, treasury systems, and regulatory reporting obligations, including EMIR requirements.

Responsibilities

  • Act as a key point of contact for treasury matters across EMEA, providing guidance to internal stakeholders and driving issue resolution
  • Partner closely with Legal, Fund Finance, Accounting, Tax, and Deal teams to ensure seamless execution of transactions and capital activity
  • Develop and maintain relationships with banking partners and strategic service providers such as AIFM, Fund Administrators
  • Demonstrate a proactive and solution-oriented mindset, anticipate operational challenges
  • Oversee daily cash management activities across EMEA entities, including intercompany funding acquisitions, and portfolio company deal fundings
  • Review, validate and monitor fund flows associated with acquisitions and strategic transactions to ensure accuracy and timely execution
  • Manage the full bank account lifecycle (openings/closures), including KYC documentation and regulatory requirements
  • Monitor and analyze bank fees; identify cost optimization opportunities
  • Monitor daily bank balances, liquidity positions, and overdraft exposure; investigate and resolve variances
  • Execute and review wire transfers through banking portals and treasury systems
  • Support treasury system enhancements and integrations, including bank connectivity (H2H), user access, and account setup
  • Support cash forecasting and liquidity planning processes
  • Assist in execution and tracking of FX spot and hedging transactions
  • Support EMIR reporting obligations, including trade reporting coordination and related regulatory documentation
  • Support internal and external audit requests related to treasury operations and controls
  • Contribute to the continuous improvement of treasury policies, procedures, and internal control frameworks

Qualifications

  • Bachelor’s degree in Finance, Accounting, Economics, or related field
  • 5+ years of corporate treasury experience, preferably within asset management, private equity, real estate, or multi-entity fund structures
  • Experience supporting fund-level cash flows and capital activity
  • Practical exposure to FX exposure management and EMIR reporting requirements
  • Strong understanding of European banking frameworks and multi-currency environments
  • Experience with ERP and Treasury Management Systems (Kyriba, Yardi, Workday, JPMorgan ACCESS preferred)
  • Advanced Excel skills
  • Strong analytical and problem-solving abilities
  • Ability to operate independently in a fast-paced, international environment
  • Excellent communication skills
  • French language skills are a plus

At DigitalBridge, we strive to create an inclusive environment where diverse employees want to work and where they can flourish professionally. In furtherance of our culture, all qualified applicants will receive consideration for employment without regard to race, national origin, gender, age, religion, disability, sexual orientation, veteran status, marital status or any other characteristics protected by law.