Assistant Vice President, Deal and Cash Operations
Company: Oaktree Capital Management
Location: Los Angeles
Posted on: April 1, 2026
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Job Description:
Our Company Oaktree is a leader among global investment managers
specializing in alternative investments, with about $200 billion in
assets under management. The firm emphasizes an opportunistic,
value-oriented and risk-controlled approach to investments in
credit, private equity, real assets and listed equities. The firm
has over 1,400 employees and offices in 25 cities worldwide. We are
committed to cultivating an environment that is collaborative,
curious, inclusive and honors diversity of thought. Providing
training and career development opportunities and emphasizing
strong support for our local communities through philanthropic
initiatives are essential to our culture. For additional
information please visit our website at www.oaktreecapital.com The
Assistant Vice President on the Deal and Cash Operations team is
responsible for private deal investment accounting including
recording deal activity, investment lifecycle events, investment
proceeds, loan activity, and dispositions into Oaktree’s accounting
system. Additional responsibilities include operational activities
such as facilitating deal fundings, cash positioning, and hedging.
Scope and Responsibilities •Translate deal documents into
accounting records that accurately reflect deal economics and meet
accounting requirements, ensuring timely and accurate entry into
Oaktree’s accounting system •Identify and record investment
proceeds (e.g., principal, interest, paydowns, sales) in Oaktree’s
accounting system timely and accurately •Process deal lifecycle
events from an investment accounting perspective by booking credit
events, reorganizations, amendments, and exits in Oaktree’s
accounting system timely and accurately •Process and account for
cash movements through complex legal entity structures, ensuring
proper booking in Oaktree’s accounting system •Work with various
stakeholders to fund and close private deal transactions including
cash positioning and funding deals within demanding timelines
•Coordinate with and respond to inquiries and requests from
investment teams, fund accounting, auditors, custodians, fund
administrators, and counterparties •Stage FX orders to raise cash
and to hedge currency risk •Ensure cash availability for upcoming
purchases, redemptions, and other transactions •Forecast available
cash balances •Monitor for and prevent account overdrafts in
various currencies •Participate in cross-functional initiatives
relating to the private deal workflow •Manage resources, including
developing new team members •Establish SLAs with internal teams to
ensure high success rates •Establish KPIs to measure and
continually improve processes •Identify, measure, and mitigate
process risk •Address daily issues, understanding root causes, and
implement process improvements •Build effective working
relationships with internal stakeholders • Write effective
procedures and train others when necessary Experience Required
•9–11 years of relevant experience at an asset management firm,
investment bank, or other financial services company •Investment
Accounting and Operations experience with Alternative Investments
including Private Credit, Real Assets, Syndicated Loans, Private
Equity, and Asset-Backed Finance •Processing transactions, credit
activity, and accounting entries in Advent Geneva and Global World
Investor •Using Microsoft office suite of applications, with
expertise in Excel including data analysis, pivot tables, charts,
and formulas •Utilizing SharePoint, Power BI, SQL and VBA a plus
•Track record of process improvement •Working with complex fund and
deal entity structures personal attributes •Collaborative,
team-oriented individual with strong sense of integrity and
professionalism •Must have outstanding initiative and be a
self-starter •Demonstrate non-linear thinking and have excellent
written, verbal, and interpersonal communication skills •Must be
able to critically think and independently solve issues and
participate in projects for improved efficiency and automation
•Able to work under tight deadlines and high pressure •Ability to
prioritize and manage multiple competing tasks •Strong verbal and
written communication skills with ability to communicate in clear
and concise manner •Strong quantitative and analytical skills
•Strong attention to detail Education Bachelor’s degree is
required. A Certified Public Accountant (CPA) with private deal
experience is strongly preferred. Base Pay Range: $125,000–$185,000
Equal Opportunity Employment Policy Oaktree is committed to
diversity and to equal opportunity employment. Oaktree does not
make employment decisions on the basis of race, creed, color,
ethnicity, national origin, citizenship, religion, sex, sexual
orientation, gender identity, gender expression, age, past or
present physical or mental disability, HIV status, medical
condition as defined by state law (genetic characteristics or
cancer), pregnancy, childbirth and related medical conditions,
veteran status, military service, marital status, familial status,
genetic information, domestic violence victim status or any other
classification protected by applicable federal, state and local
laws and ordinances. This policy applies to hiring, placement,
internal promotions, training, opportunities for advancement,
recruitment advertising, transfers, demotions, layoffs,
terminations, recruitment advertising, rates of pay and other forms
of compensation and all other terms, conditions and privileges of
employment. This policy applies to all Oaktree applicants,
employees, clients, and contractors. Staff members wishing to
report violations or suspected violations of this policy should
contact the head of their department or Human Resources. For
positions based in Los Angeles For those applying for a position in
the city of Los Angeles, the firm will consider for employment
qualified applicants with a criminal history in a manner consistent
with applicable federal, state and local law.
Keywords: Oaktree Capital Management, Newport Beach , Assistant Vice President, Deal and Cash Operations, Accounting, Auditing , Los Angeles, California