Treasury Cash Management Analyst

in Financial Services
  • Rowayton, Connecticut View on Map
  • Salary: $80,000.00 - $95,000.00
Permanent

Job Detail

  • Experience Level Staff
  • Degree Type Bachelor of Science (BS)
  • Employment Full Time
  • Working Type On Site
  • Job Reference 0000014514
  • Salary Type Annually
  • Industry Hedge Fund
  • Selling Points

    Contribute to impactful treasury operations projects, enhancing financial processes and systems. Develop expertise in cash management, margin analysis, and FX exposure coordination. Collaborate with professionals in a fast-paced, on-site environment.

Job Description

Overview

  • Join a dynamic treasury operations team as a Cash Management Analyst, focusing on margin analysis, wire transfers, and cash account reconciliation.
  • Contribute to the development and enhancement of treasury platforms and procedures, ensuring operational efficiency and accuracy.
  • Analyze FX exposures, coordinate executions, and prepare consolidated reports for senior management.
  • Participate in operations-related projects and respond to ad-hoc requests, engaging in industry initiatives and developments.
  • Work in a fast-paced environment, ensuring the accuracy of trade bookings, pricing, and other deliverables.
  • Collaborate with internal teams and brokers for portfolio trade, cash, and position reconciliations across various product types.
  • Enhance your skills in cash and liquidity management, including collateral analysis and daily funding of cash accounts.
  • This role is based on-site, providing opportunities for professional growth within a supportive environment.

Key Responsibilities & Duties

  • Process daily margin cashflows and trading settlements with precision and timeliness.
  • Manage cash and liquidity, including collateral analysis and forecasting for cash accounts.
  • Develop and enhance treasury platforms and associated procedures for improved efficiency.
  • Respond to margin movements, resolving disputes through effective communication and analysis.
  • Reconcile portfolio trades, cash, and positions between internal records and brokers.
  • Analyze FX exposure and coordinate execution strategies for various entities.
  • Prepare and consolidate reports for distribution to senior management.
  • Participate in industry initiatives and respond to operational project requests.

Job Requirements

  • Bachelor's degree in Finance or a related field is required.
  • 2-3 years of experience in treasury or cash management is preferred.
  • Understanding of margin, portfolio financing, and collateral agreements is essential.
  • Proficiency in cash management controls and best practices is required.
  • Familiarity with wire entry, template creation, and electronic payment platforms is beneficial.
  • Knowledge of derivatives, FX, equities, and fixed income markets is advantageous.
  • Advanced skills in Word, Excel, and Windows are necessary.
  • Excellent organizational, analytical, and communication skills are required.
  • ShareAustin:

Related Jobs