Business Manager, Treasury (VN2610)
$180,000–$225,000 year
On-siteNew York City, New York, United States or New York, United States
Job Summary
Develop and implement U.S. Treasury strategy while collaborating with the Treasurer, Risk Management, and the Front Office to enhance daily processes, cash forecasting, and liquidity risk monitoring. Manage regulatory compliance under SEC, FINRA, NFA, CFTC, and other exchanges by liaising with regulators, rating agencies, and auditors, while ensuring adherence to the operational risk framework and company policies. Assist in designing best-in-class policies for funding, liquidity, and cash investment, and contribute to automation projects and new funding initiatives. Report policy breaches immediately and escalate risk events as required.
Required Qualifications
- At least ten (10) years' of proven and relevant Treasury or related experience in the financial services industry, with specific focus on broker dealer and derivatives knowledge
- Bachelors Degree in Finance, Economics or Accounting is strongly preferred
- Must possess strong organization skills
- Ability to manage short and longer term projects well
- Ability to work independently with minimal oversight as well as be an effective team member
- Excellent communication and interpersonal skills required with ability to present complex issues succinctly
- Attention to detail, highly numerate, analytical and very organized
- Possess 'executive presence' when presenting to senior management, regulators, and other third parties, etc..
Desired Qualifications
- Business management, or similar experience in the financial services industry
- Strategic thinker able to anticipate and respond to changing firm priorities
- Enthusiastic, self-motivated and effective under pressure
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