Treasury and FP & A Manager, Apollo Global

US-NY-New York | US-IL-Chicago | US-DC-Washington
Apollo Global
Job Family
Virtual Eligible
Requisition ID
Position Type


The Treasury and FP & A Manager, Apollo Global conducts and/or manages Apollo Global Finance projects including Internal Control Enhancement Initiatives, Integration efforts, Due Diligence efforts and financial planning and analysis. The incumbent participates in all aspects of Apollo Global’s Treasury related activities and directly interfaces with numerous third parties, including investment banks, investment managers and other.


  • Collaborate with others to successfully manage consolidation of monthly, quarterly and yearly results and data migration from existing system to new reporting tool. 
  • Participate in any in due diligence of potential acquisition targets to ensure a complete and accurate understanding of all aspects of any potential acquisition.
  • Prepare financial models and analysis to support growth initiatives and other activities throughout the organization, including due diligence efforts and ad hoc reporting and enhance cash flow reporting.
  • Prepare, analyze and present detailed annual budgeting and monthly reforecast processes.
  • Maintain the monthly reporting requirements, which requires interfacing with eight global subsidiaries to coordinate data submissions; effectively manage time sensitive analyses.
  • Partner with Accounting team and global subsidiaries to conduct monthly variance analyses and address significant deviations from plan.
  • Support global treasury operations by managing cash balances in holding company structures and currency exposure.
  • Support forecasting revenue recognition patterns under IFRS and US GAAP accounting standards in contract based business model.


Basic Requirements:

• Bachelor’s Degree
• Four years of progressively responsible experience with auditing, accounting or finance in a highly regulated industry


Additional Responsibilities:
• Bachelor’s degree in Accounting, Finance, Economics, or similarly quantitative/analytical degrees
• Professional certification (e.g., CFA, CPA, CISA, CIA, CISM, CISSP)
• General knowledge of US GAAP/IFRS and capable of interpreting international accounting standards and how to transition statutory accounting back to US GAAP/IFRS
• Strong financial modeling experience and solid understanding of financial statements
• Excellent knowledge of Microsoft Office applications
• Proven supervisory experience in the fields of audit, accounting, finance, banking or investing
• High level of analytical, interpretive and strategic thinking to apply and/or implement accounting policies, procedures and standards, and to identify risks, controls, solutions and best course of action, as needed
• Excellent oral, written and interpersonal skills to effectively interact with management and demonstrate ability to act as a team player
• Able to supervise multiple projects simultaneously
• Willingness to accept broad range of responsibilities and projects and maintain an eye for details
• Ability to interface and provide instructions to financial and non-financial personnel


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