Actively monitor intraday cash positions across portfolios, incorporating multiple cash flow adjustments, funding events, and forecast updates
Partner with Short ‑ Term Trading to support accurate investment of excess cash and timely execution of funding actions to cover projected shortfalls
Produce, validate, and analyze daily cash flow reporting and cash forecasting outputs; investigate breaks and resolve discrepancies
Work closely with custodians, fund accounting, and internal operations teams to reconcile cash balances and ensure data integrity across systems
Support client ‑ directed subscriptions, redemptions, and ad hoc cash movements in coordination with Account Managers and Portfolio Management
Identify process inefficiencies, control gaps, and operational risks; propose and implement enhancements with an emphasis on automation and scalability
Contribute to cross ‑ functional initiatives aimed at improving data quality, transparency, and straight ‑ through processing across cash workflows
Respond to time ‑ sensitive and ad hoc cash ‑ related inquiries from internal stakeholders and external partners
Technical & Analytical Focus Areas
Analyze large cash datasets to identify trends, exceptions, and emerging liquidity risks
Leverage Excel and related tools to build repeatable analyses, reconciliations, and controls
Assist with system enhancements, data mapping, and UAT related to cash management, forecasting, and reporting platforms
Support development of standardized metrics and reporting to improve visibility into cash usage, forecasting accuracy, and funding efficiency
Required Qualifications
Bachelor's degree in Finance , Economics, Business, Engineering, or a quantitatively oriented field
3+ years of experience in asset management, financial services operations, treasury, fund accounting, or a related role
Strong technical aptitude with demonstrated experience using Microsoft Excel for analysis (advanced formulas, lookups; VBA/SQL /Python experience a plus)
Proven ability to work with complex data sets and reconcile information across multiple sources
High attention to detail with a strong control mindset
Requirements
Prior experience in cash management, liquidity management, treasury, or collateral ‑ adjacent functions
Understanding of trade lifecycle, settlement flows, and funding mechanics
Exposure to financial systems, data feeds, or systems development / automation initiatives
Experience working with custodians, accounting platforms, or portfolio management systems
Professional Skills & Attributes
Strong analytical and problem ‑ solving skills, with the ability to independently investigate and resolve issues
Comfort operating in fast ‑ paced, time ‑ sensitive environments with competing priorities
Clear and concise verbal and written communication skills, including the ability to explain technical issues to non ‑ technical stakeholders
Self ‑ motivated and proactive, with a mindset toward continuous improvement and process optimization
Ability to work effectively in a global organization and collaborate across functions and time zones
Resilient, adaptable, and comfortable navigating evolving or partially unstructured processes
PIMCO follows a total compensation approach when rewarding employees which includes a base salary and a discretionary
Benefits
Flexible schedule
Additional Information
PIMCO is a global leader in active fixed income with deep expertise across public and private markets. We invest our clients' capital across a range of fixed income and credit opportunities, leveraging our decades of experience navigating complex debt markets. Our flexible capital base and deep relationships with issuers have helped us become one of the world's largest providers of traditional and nontraditional solutions for companies that need financing and investors who seek strong risk-adjusted returns.
Since 1971, our people have shaped our organization through a high-performance inclusive culture, in which we celebrate diverse thinking. We invest in our people and strive to imprint our CORE values of Collaboration, Openness, Responsibility and Excellence. We believe each of us is here to help others succeed and this has led to PIMCO being recognized as an innovator, industry thought leader and trusted advisor to our clients.
Job Description
The Cash Desk is a core operational function at PIMCO, responsible for day ‑ to ‑ day cash management, client cash flow execution, and forward-looking cash forecasting across mutual funds, hedge funds, and separately managed accounts. The team partners closely with Portfolio Management and Trading to ensure liquidity needs are met, overdrafts are avoided, and excess cash is efficiently invested. This role is well suited for an Associate with strong analytical and technical skills who is interested in working at the intersection of markets, operations, and systems.
This position is based in Austin and the working hours 5am - 3.30pm Local Time.