Lead treasury operations at a premier financial services firm, optimizing liquidity strategies. Collaborate on impactful projects and system enhancements for operational excellence. Hybrid work environment offering flexibility and growth opportunities.
Senior Treasury Operations Analyst
in Financial Services PermanentJob Detail
Job Description
Overview
- Contribute to the treasury operations of a leading financial services organization, ensuring optimal liquidity management and operational efficiency.
- Collaborate with cross-functional teams and external banking partners to streamline processes and enhance financial strategies.
- Play a pivotal role in managing cash flow, funding coordination, and strategic liquidity planning.
- Engage in high-impact projects and system upgrades to drive operational excellence and innovation.
- Utilize advanced technical tools and systems to ensure accurate and efficient treasury operations.
- Support critical financial activities during peak periods and month-end processes.
- Contribute to maintaining compliance and optimizing banking relationships for organizational success.
- Work in a hybrid environment offering flexibility and collaboration opportunities.
Key Responsibilities & Duties
- Manage and oversee the opening and administration of cash and custody accounts, ensuring seamless operations.
- Coordinate funding needs and liquidity reporting with internal finance and accounting teams.
- Review and maintain daily cash reconciliations in collaboration with administrators and stakeholders.
- Support operational teams during critical financial periods, ensuring accuracy and efficiency.
- Participate in strategic projects and system upgrades to enhance treasury operations.
- Ensure compliance with entity structures, KYC requirements, and regulatory standards.
- Utilize advanced analytical tools for data analysis and reporting to inform decision-making.
- Collaborate with senior personnel and external partners to achieve organizational goals.
Job Requirements
- Bachelor’s Degree in Finance, Accounting, or a related field is required.
- Minimum of 10 years of experience in treasury operations within financial services.
- Certified Treasury Professional (CTP) credential is preferred but not mandatory.
- Proficiency in banking and financial products, processes, and compliance requirements.
- Experience with liquidity planning, funding coordination, and cash optimization strategies.
- Familiarity with systems such as Hazeltree and SWIFT is advantageous.
- Advanced skills in Microsoft Excel for financial analysis and reporting.
- Excellent communication and collaboration skills for working with diverse teams and partners.
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