Logo for Gratia

Senior Data Analyst / Manager — Treasury & Finance Data

Key Facts

Category:  Treasury Manager
Fixed term
Senior (5-10 years)
English

Other Skills

  • Financial Literacy
  • Communication
  • Problem Solving

Roles & Responsibilities

  • 5+ years of hands-on experience (Manager) or 3+ years (Analyst) working with finance, treasury, risk, or accounting data
  • Deep familiarity with data domain creation
  • Strong accounting and financial literacy
  • Experience with OneStream and/or Snowflake (preferred)

Requirements:

  • Create and structure data domains across treasury, finance, risk, FPA, and accounting
  • Own source-to-target mapping end-to-end
  • Translate business needs into clear technical requirements
  • Navigate accounting and financial nuance

Job description

At Gratia, we believe potential is globally distributed, but opportunity is not. Our mission is to turn great talent's potential into fulfilling global careers through professional development and tech-enabled platforms. We bridge the gap between ambitious companies and hands-on experts who deliver real results instead of just theoretical plans.

Gratia is a remote-first, apprenticeship-based platform where opportunity is defined by what you can do and deliver. Our clients include global names like USA Today Co., Endeavor, and New York Life. We maintain an 88.2 Net Promoter Score because we focus on rigorous execution, not just high-level advice.



The mission

A leading global alternative asset manager is looking to bring structure to a complex, fast-moving data environment across treasury, finance, risk, and accounting. The data landscape spans fund-level positions, security master, cash flows, management fees, ratings, and accounting data — and it needs someone who can navigate that complexity without a roadmap. You won't be trained into this. You'll be expected to understand the terrain, ask the right questions, and drive the work forward from day one.

We're hiring for two complementary profiles that will work as a unit:

  • Manager — A product / finance / treasury / risk-oriented lead who understands the business context, guides the work, translates stakeholder needs into clear data requirements, and owns the relationship with technology teams and vendors

  • Analyst — A hands-on data specialist who handles the mining, cleaning, cleansing, mapping, and structuring of data domains day-to-day

What you’ll be doing

  • Create and structure data domains across treasury, finance, risk, FP&A, and accounting — defining granularity, business logic, and data ownership from scratch where needed

  • Own source-to-target mapping end-to-end — extract, transform, enrich, cleanse, and map data from messy source systems into clean, reliable outputs

  • Translate business needs into clear technical requirements — work directly with finance, treasury, and risk stakeholders to clarify what they actually need, and spec that clearly for technology teams or external vendors

  • Navigate accounting and financial nuance — understand concepts like management fee structures (receivables vs. payables, date logic, transaction-level detail), ratings hierarchies, and cash flow categorization well enough to avoid pulling the wrong data

  • Operate with minimal ramp-up — whether you've worked inside a comparable firm or come from a strong treasury/risk data background, you're expected to orient quickly and drive work forward without heavy training

What we’re looking for

  • 5+ years of hands-on experience (Manager) or 3+ years (Analyst) working with finance, treasury, risk, or accounting data in asset management, private equity, private credit, or a related financial services environment

  • Deep familiarity with data domain creation — you've personally built or restructured data domains, not just managed someone else doing it. Source-to-target mapping, data cleansing, enrichment, and transformation are core to your experience

  • Strong accounting and financial literacy (especially Manager) — you can distinguish between different definitions of the same metric (e.g., management fees, ratings types) and know what follow-up questions to ask before pulling data

  • Experience with OneStream and/or Snowflake (preferred) — hands-on use, not just awareness

  • Prior experience at a large-scale alternative asset manager (preferred) — firms like Blackstone, KKR, Ares, Carlyle, Brookfield, or similar. Fund-level data experience on the asset management / HoldCo side is a strong differentiator



    Why Gratia is your next step

  • Flexible Freelance Model: This is a long-term contract/freelance role designed for independent professionals who want the freedom of private practice without the isolation of working alone. We offer both part-time and full-time engagement options.

  • Experience-Based Rates: Compensation is tailored to your expertise.

  • Portfolio Growth: Elevate your profile by working directly with leaders at innovative global organizations like Gannett and Portrait Analytics.

  • A Clear Path Forward: We believe in moving from "doing" to "leading." You’ll have a defined trajectory to gain specialized expertise and leadership skills.

Treasury Manager Related jobs

Other jobs at Gratia

We help you get seen. Not ignored.

We help you get seen faster — by the right people.

🚀

Auto-Apply

We apply for you — automatically and instantly.

Save time, skip forms, and stay on top of every opportunity. Because you can't get seen if you're not in the race.

AI Match Feedback

Know your real match before you apply.

Get a detailed AI assessment of your profile against each job posting. Because getting seen starts with passing the filters.

Upgrade to Premium. Apply smarter and get noticed.

Upgrade to Premium

Join thousands of professionals who got noticed and hired faster.