Enhance your expertise in treasury and capital markets operations. Collaborate on impactful projects improving process controls and efficiency. Develop valuable skills in a dynamic, fast-paced environment.
Treasury And Capital Market Analyst
in Professional Services ContractJob Detail
Job Description
Treasury and Capital Market Analyst Overview
- The Treasury and Capital Market Analyst is responsible for ensuring accurate and timely processing of treasury and capital markets transactions.
- This role involves managing settlements, reconciliations, and payments, adhering to industry and organizational standards.
- Collaborate with front office and counterparties to resolve transaction issues efficiently and effectively.
- Perform daily reconciliations and ensure compliance with market rules and internal procedures.
- Contribute to system and process improvement projects to enhance operational efficiency.
- Maintain flexibility in work schedule to support extended hours and global operations.
- Provide accurate general ledger postings and assist in brokerage fee processing.
- Support the team in implementing changes to systems and processes for improved controls.
Treasury and Capital Market Analyst Key Responsibilities & Duties
- Process confirmations and settlements for FX, MM, IRS, GICs, CP/CD, REPO, and securities clearing.
- Ensure compliance with market rules and organizational policies in transaction processing.
- Perform daily end-of-day reconciliations to ensure operational accuracy.
- Monitor trade settlements and resolve failing transactions promptly.
- Post general ledger accounting entries accurately in the core system.
- Escalate settlement issues to management and provide timely reports.
- Assist in projects aimed at enhancing process efficiency and control measures.
- Update and maintain internal procedural documentation for operational tasks.
- Process brokerage fees and ensure accurate financial reporting.
Treasury and Capital Market Analyst Job Requirements
- Bachelor’s degree in Finance, Accounting, or Business Administration required.
- Minimum of 1 year of professional experience in treasury or capital markets.
- Knowledge of equities, futures, interest rate swaps, and repurchase agreements preferred.
- Proficiency in MS Office applications, including Word, Excel, Access, and PowerPoint.
- Strong analytical skills and attention to detail are essential for problem-solving.
- Ability to work independently, take initiative, and learn quickly in a dynamic environment.
- Excellent communication skills and a professional, customer-oriented attitude.
- Flexibility to adapt to extended work hours supporting global operations.
- Team-oriented mindset with a commitment to collaboration and achieving shared goals.
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