Associate, Treasury
Oak Hill Advisors · Fort Worth, Texas, United States · Hybrid
Posted Jul 21, 2026
Sign up free: we match you to jobs like this, tailor your application and fill the form. 2 free applications every day.
About Oak Hill Advisors
Oak Hill Advisors, L.P., including its affiliated investment advisors (the “Firm” or “OHA”), is a leading global credit-focused alternative asset manager with over 30 years of investment experience. OHA works with institutions and individuals and seeks to deliver a consistent track record of attractive risk-adjusted returns. The Firm has approximately $112 billion in assets under management (AUM) across credit strategies, including private credit, high yield bonds, leveraged loans, stressed and distressed debt and collateralized loan obligations as of June 30, 2026. With over 400 experienced professionals across seven global offices, OHA brings a collaborative approach to offering investors a single platform to meet their diverse credit needs. OHA is the private markets platform of T. Rowe Price Group, Inc. (NASDAQ – GS: TROW). For further information about OHA, please visit www.oakhilladvisors.com.
Overview
OHA is seeking a Treasury professional to join the team in Fort Worth, with a specific focus on cash projections, deal funding, and cash wires. This role works closely with Finance, Operations, and Deal teams to efficiently manage and transmit cash across a large, multi-entity fund complex. Process automation is a key priority as the team scales to support OHA’s growth.
Primary Responsibilities
Execute deal funding, wire processing, and daily cash movement across the fund complex
Manage cash forecasting and liquidity to ensure funding deadlines are met
Support fund financing activity across long-term credit facilities, including preparing analysis on financing recommendations and portfolio return impact
Maintain leverage compliance and daily process requirements through coordination with internal and external stakeholders
Enhance treasury management systems, including building out cash management modules
Maintain money market sweep activity, monitor daily cash projections & review monthly bank account billing across custodial banks
Support treasury project initiatives by partnering with vendors & OHA IT teams on process enhancements
Develop and maintain Treasury policies, procedures, and management reporting
Support the firm's FX program, including spot transactions and hedging activity
Service Loan obligations & daily operations through accurate execution & consistent controls
Provide responsive, high-quality support to internal stakeholders and external financial service partners
Qualifications
Bachelor's degree required (B.A. or B.S.), preferably in Finance or a related field
Strong aptitude for learning new systems quickly needed, preferably with wire processing experience and exposure to technology/AI tools applied in a finance context (e.g., automation, coding, or data tools used to streamline financial workflows)
Strongly prefer 5+ years of Treasury experience, including treasury operations, wire processing, and cash management
Open to candidates with a background in…