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Responsible for assisting in management of daily Treasury operations. Will assist in all aspects of cash management with a focus on daily operations.
Responsible for daily monitoring and management of the firmβs liquidity/cash balances. Responsible for initiating cash transactions with accuracy and precision while working with foreign exchange and other money market instruments. Manage banking documentation and reviews and implements banking products and systems.
Assist with fee reviews and optimize banking relationships. Identify analytical needs and processes improvements and assist with preparing annual FBAR reporting. Manage insurance renewal and contracts for the organization.
Help manage daily margin call process with financing counterparties. Will work with other key stakeholders within a Finance organization (e.g. Controller, CFO, Treasurer). Will leverage experience with representing Treasury within internal or external audit processes and will work with anti-money laundering checks. This role will work with and support all levels of the organization in the US and globally.
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