Treasury Analyst, Europe (Real Estate)

Overview
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Treasury Analyst, Europe (Real Estate)
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Realty Income Corporation .Realty Income (NYSE: O), an SandP 500 company, is a real estate partner to the world''s leading companies. Founded in 1969, we invest in diversified commercial real estate and have a portfolio of 15,600 properties in all 50 U.S. states, the UK and six other countries in Europe, with a gross book value $58bn. We are known as "The Monthly Dividend Company” and have a mission to deliver stockholders dependable monthly dividends that grow over time. Since our founding, we have declared 656 consecutive monthly dividends and are a member of the SandP 500 Dividend Aristocrats index, having increased our dividend for the last 30 consecutive years.You will be joining one of the largest Real Estate Investment Trusts in the world as we rapidly expand into the UK and European markets, including moving into new offices at 3 St. James’s Square.The European portfolio, including the UK, has experienced consistent growth quarter-on-quarter since our first international acquisition, a £429m 12-property portfolio from Sainsbury’s in 2019. In just five years the portfolio now includes investments of over $11bn, and 483 distinct properties.You will assist in the expansion and development of the European treasury function. With access to the senior leadership team in Europe, you will develop and broaden your experience and take on additional responsibilities and challenges with dynamic opportunities for career growth as the company expands.Position Overview
The Treasury Analyst, Europe, is responsible for working with the Treasury Director, UK, and US Treasury team to promote the company’s treasury strategy and process daily treasury transactions. The Treasury Analyst is also responsible for supporting the global Treasury team in daily cash management activities. The Treasury Analyst will exhibit the teamwork needed to further advance the automation and digitisation of cash processes to scale cash operations.Key Responsibilities
Treasury Operations: Monitor the international cash positions and cash forecast, and along with the Treasury Director, UK, and U.S. Treasury group, coordinate the movement of fundsLiaise with and support the U.S. Treasury function to ensure the group conforms to relevant reporting requirements and expectations of the region’s operations, including support for Realty Income’s growth objectives in EuropeResolve day-to-day inquiries related to Treasury-related questionsAssist with opening and closing company bank accounts, including coordinating the preparation of necessary KYC documentationPrepare fund flows and funding requests for the acquisitions of the properties and intercompany bank transactionsPrepare wires as needed and ensure that daily wires are sent in a timely manner; for acquisitions in the international market, ensure that wires are successfully sent/confirmedAct as a company administrator on our interactive bank portalsEnsure compliance with internal controls, policies, and procedures. Develop and monitor treasury operational policies. Manage Sarbanes-Oxley compliance for treasury operationsGeneral Ledger
Coordinate with the accounting team to ensure that treasury-related journal entries for various banks, money market cash accounts, etc. are recorded appropriatelyOther Responsibilities
Involved in the streamlining of internal processes to gain efficiencies and maintain sound internal controlsParticipate in special projects, including performing treasury research and formally documenting the conclusions of managementParticipate in system and software implementation and upgrade testing, including Yardi (ERP system) and Kyriba (treasury management system), as applicableAssist in the evaluation of software needs for the Treasury Department to troubleshoot potential gaps and ensure that adequate tools are maintained for the groupCandidate Requirements
Knowledge, Skills, and Abilities
Must Have For The Role
Suitable treasury work experience working in the real estate industryExperience in EMEA Treasury functions, including cashflow planning, commercial banking, different currencies, and/or other corporate treasury-related functionsSetting up new bank accounts and monitoring payments. BS in Accounting or Business Administration (or equivalent work experience)Experience with Yardi, Yardi PayScan, Kyriba, JP Morgan Access or other international bank platformsAbility to handle large volumes of work, meet deadlines, and work under pressureExcellent financial acumenStrong oral and written communication skillsDetail-oriented, accurate, reliable, and flexibleDriven and self-motivated; ability to work independently, when requiredProfessional conduct and discretion at all timesExcellent PC skills required, including Outlook, Word, Excel, and PowerPointOur Mission and Values
For more than 50 years, Realty Income has been guided by our mission to invest in people and places to deliver dependable monthly dividends that increase over time. We do this by nurturing long-term, meaningful relationships that enable people to achieve a better financial outlook. Realty Income is committed to diversity and inclusion and welcomes all applicants regardless of age, disability, gender reassignment, marriage and civil partnership, pregnancy and maternity, race, religion or belief, sex, sexual orientation or educational ..... full job details .....