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Details
  • Location: New York NY
  • Type: Perm
  • Job #25679

Company Overview:
A leading financial institution with a global presence is seeking a Treasury Analyst to join its team. This role focuses on managing day-to-day funding and liquidity operations.

Job Responsibilities:

  • Monitoring daily bank activity, establishing the daily cash position, and forecasting future needs to prevent shortfalls.
  • Moving funds across financial institutions for funding purposes, including managing intercompany cash, borrowing, and repayments.
  • Investing surplus funds in short-term, high-quality liquid assets.
  • Managing liquidity, foreign exchange, and interest rate risks to protect the bank's balance sheet.
  • Ensuring compliance with internal policies and regulatory reporting.
  • Establishing, managing, and maintaining relationships with bank counterparties.
  • Executing strategies defined by the Asset-Liability Committee regarding interest rate risk, funding structure, and maturity profiles.
  • Submitting daily/weekly cash reports and updating ALCO on the bank's liquidity position.

Qualifications:

  • 2-4 years of experience in banking operations, treasury management, or corporate finance.
  • Proficiency in Microsoft Office, SWIFT messaging, and banking platforms.
  • Bachelor's degree in finance, economics, or accounting preferred.

Compensation:
Salary: $75,000 – $80,000, DOE
 

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