Cash Management Operations Analyst

  • Full-Time
  • New York, NY
  • TD Witz Associates
  • Posted 1 year ago – Accepting applications
Job Description

RESPONSIBILITIES

§ Daily reconciliation of collateral positions and cash activity

§ Monthly/Quarterly reconciliation of cash balances with Trustees/Admins

§ Settlement of collateral with various counterparties

§ Liquidity management across all related funds

§ Process treasury activities for the Funds including investment fundings, foreign exchange transactions, swaps, banking fees, transfers between legal entities, etc.

§ Managing the opening, closing and maintenance of Fund bank accounts

CANDIDATE PROFILE

§ Graduate with a bachelor’s degree in Finance or related fields; 3 – 5 years of experience

§ Proficient in excel and outlook (vlookup & pivot required, macro preferred)

§ Knowledge of treasury, debt capital markets, financial instruments and structures

§ Excellent personal communication, attention to detail, report writing and organizational skills

§ Familiarity with VPM and Swift/Fed wires a plus

Job Type: Full-time

Pay: $70,000.00 - $115,000.00 per year

Benefits:

  • Health insurance

Schedule:

  • Monday to Friday

Supplemental Pay:

  • Bonus pay

Ability to commute/relocate:

  • New York, NY 10022: Reliably commute or planning to relocate before starting work (Required)

Education:

  • Bachelor's (Required)

Experience:

  • Microsoft Excel: 2 years (Required)
  • Cash management: 2 years (Required)

Work Location: One location

Apply to this Job