Enhance treasury operations expertise in a dynamic financial services environment. Develop skills in FX management, margin analysis, and liquidity optimization. Collaborate on impactful projects driving innovation and efficiency.
Treasury Cash Management Analyst
in Financial Services PermanentJob Detail
Job Description
Overview
- Join a leading financial services firm as a Treasury Cash Management Analyst, driving operational excellence in treasury and cash flow management.
- Contribute to impactful projects, including FX exposure management, margin analysis, and cash account reconciliation, ensuring financial accuracy.
- Collaborate with cross-functional teams to optimize treasury platforms and procedures, enhancing efficiency and system performance.
- Develop expertise in cash and liquidity management, including collateral analysis and daily funding operations.
- Work closely with brokers and stakeholders to ensure accurate trade and cash reconciliations, supporting organizational goals.
- Participate in strategic initiatives and operational projects, contributing to innovation and continuous improvement.
- Enhance professional growth by addressing complex challenges in a fast-paced environment.
Key Responsibilities & Duties
- Process daily margin cashflows and trading settlements with precision, ensuring compliance with organizational standards.
- Manage cash and liquidity, including forecasting and collateral analysis for cash accounts, optimizing resource allocation.
- Develop and refine treasury platforms and procedures to enhance operational efficiency and accuracy.
- Analyze FX exposure and coordinate execution strategies across multiple entities, supporting risk management efforts.
- Prepare and consolidate comprehensive reports for senior management review, providing actionable insights.
- Reconcile portfolio trades, cash, and positions between internal records and brokers, ensuring data integrity.
- Respond to margin movements and resolve disputes through effective analysis and communication.
- Participate in operational projects and contribute to industry initiatives, driving innovation and improvement.
Job Requirements
- Bachelor's degree in Finance or a related field is required, demonstrating foundational knowledge in financial principles.
- 1-3 years of experience in treasury or cash management is preferred, showcasing relevant expertise.
- Understanding of margin, portfolio financing, and collateral agreements is essential for effective role performance.
- Proficiency in cash management controls and best practices is required, ensuring operational excellence.
- Familiarity with electronic payment platforms and wire entry processes is beneficial, supporting transactional efficiency.
- Knowledge of derivatives, FX, equities, and fixed income markets is advantageous, contributing to informed decision-making.
- Advanced skills in Word, Excel, and Windows are necessary for effective data analysis and reporting.
- Strong organizational, analytical, and communication skills are required, ensuring successful collaboration and problem-solving.
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