Treasury Analyst
4 weeks ago
About INTERACTIVE BROKERS
This is a hybrid role (three days in the office/two days remote).
Interactive Brokers Group has been consistently at the forefront of trading innovation, starting with the invention of the first floor-based handheld computer in 1983. We pride ourselves on being primarily a technology company and challenging the status quo. We push boundaries to offer our clients the best trading platform with the most sophisticated features at the lowest cost. Software development is the lifeblood of our firm, and it shows in our stellar brokerage platform. Interactive Brokers is regularly recognized as a leader in the financial services industry.
What will be your responsibilities within IBKR:
Interactive Brokers Group (IBG) seeks a Treasury Analyst to join its Corporate Treasury team. The successful candidate is dynamic, intelligent, analytical, organized, precise, able to multitask, can prioritize tasks under the pressure of completing assignments within time constraints, and can quickly adapt to a fast-paced environment. Under the direction of the Treasury Director, this position will support daily treasury functions and periodic analyses such as:
- Prepare daily cash forecast to ensure sufficient liquidity for daily and future financial obligations.
- Analyze a liquidity situation, identify how to optimize liquidity, and assess and mitigate the firm's liquidity risks.
- Generate daily wire transfers to cover settlement obligations, consolidate cash and cover account deficits.
- Establish daily cash position and determine the optimal placement and investment of cash based on interest rates and regulatory limitations.
- Establish the best use of assets (treasuries, cash, equities) to meet clearinghouse margin and clearing fund requirements.
- Reconcile cash and securities activity and research discrepancy.
- Prepare bank loan letters as needed.
- Prepare consolidated liquidity and investment reports for management.
- Analyze monthly interest PnL, identify discrepancies in actual interest earned vs. expected, and ensure proper placement of funds to achieve optimal interest earned.
- Research and suggest investment opportunities within the firm's general investment guidelines
- Identify and design improvements to treasury systems and operational processes.
These duties may be ongoing or ad hoc and other responsibilities may be assigned as needed.
Which skills are required:
The ideal candidate should possess a broad knowledge of cash and liquidity management in a corporate treasury environment.
- Bachelor's degree in Finance, Economics or Mathematics, minimum GPA of 3.5
- 0-3 years of corporate treasury experience
- Strong problem-solving and analytical skills
- Excellent written and oral communication skills
- High attention to detail
- Strong organizational skills
- Strong time-management skills
- High degree of comfort and fluency with computers and technology
- High degree of proficiency in the use of Microsoft Excel and Word and the use of these tools to present data clearly and concisely
To be successful in this position, you will have the following:
- Self-motivated and able to handle tasks with minimal supervision.
- Superb analytical and problem-solving skills.
- Excellent collaboration and communication (Verbal and written) skills.
- Outstanding organizational and time management skills.
- Competitive salary, annual performance-based bonus and stock grant
- Retirement plan 401(k) with a competitive company match
- Excellent health and welfare benefits, including medical, dental, and vision benefits
- Wellness screenings and assessments, health coaches and counseling services through an Employee Assistance Program (EAP)
- Paid time off and a generous parental leave policy
- Daily company lunch allowance provided, and a fully stocked kitchen with healthy options for breakfast and snack
- Corporate events, including team outings, dinners, volunteer activities and company sports teams
- Education reimbursement and learning opportunities
- Modern offices with multi-monitor setups
-
Treasury Analyst
4 weeks ago
Greenwich, Connecticut, United States Interactive Brokers Full timeAbout INTERACTIVE BROKERSThis is a hybrid role (three days in the office/two days remote). Interactive Brokers Group has been consistently at the forefront of trading innovation, starting with the invention of the first floor-based handheld computer in 1983. We pride ourselves on being primarily a technology company and challenging the status quo. We push...
-
Senior Finance Treasury Analyst
6 days ago
Hartford, CT, United States Selby Jennings Full timeBased in Hartford, Connecticut, an insurance-based financial firm has seen considerable growth over the years, expanding into Insurance, Reinsurance, and Asset Management sectors, primarily specializing in Fixed Annuities. Currently, their Treasury team consists of three associates, and they are actively seeking to add another associate or senior associate...
-
Pittsburgh, PA, United States BNY Mellon Full timeOverview The position is part of the Asset Liability Management (ALM) team within Corporate Treasury, focusing on CCAR Stress Testing. The role will contribute to the annual CCAR stress test execution, the mid-cycle stress test, as well as various projects throughout the year. The candidate will join a talented global team of Treasury personnel responsible...
-
Tax Analyst
3 weeks ago
Greenwich, Connecticut, United States Interactive Brokers Full timeAbout INTERACTIVE BROKERSThis is Hybrid role (3 days in office /2 days remote)Interactive Brokers Group has been consistently at the forefront of trading innovation, starting with the invention of the first floor-based handheld computer in 1983. We pride ourselves on being primarily a technology company and challenging the status quo. We push boundaries to...
-
EGUSA: Hedge Fund
3 weeks ago
Greenwich, United States Eximius Finance Full timeThe Fund Control team is responsible for verifying and reporting daily profit & Ioss to Portfolio Managers, ensuring the portfolios of the Funds are fairly valued, and reviewing and approving the Funds' NAVs prepared by the fund administrators. The team also assists in the preparation and review of annual financial statements, regulatory reporting, investor...
-
Financial Transactions Analyst
1 week ago
New Haven, Connecticut, United States Yale New Haven Health Full timeOverview: To be part of our organization, every employee should understand and share in the YNHHS Vision, support our Mission, and live our Values. These values - integrity, patient-centered, respect, accountability, and compassion - must guide what we do, as individuals and professionals, every day. This position reports to the Manager, Accounts Payable...
-
VP, Global Regulatory Reporting Lead Analyst
6 days ago
New York, NY, United States Citi Full timeThe Lead Analyst position is an integral member of the Global Regulatory Reporting (GRR). This is a high profile function, providing financial information to the regulators including the Federal Reserve Bank (FRB) and Office of the Comptroller of the Currency (OCC). The position will have a high level of visibility within the organization with opportunities...
-
Financial Operations Analyst
3 days ago
Reno, NV, United States EMPLOYERS Full timeLocation: Reno, NVJob_Code: 6120# of Openings: 1 Financial Operations Analyst | Hybrid Schedule – Must live in the greater Reno, NV areaGeneral Summary:The Financial Operations Analyst performs the duties and functions related to the management of third-party suppliers, invoicing, purchase orders, vendor management and other finance/treasury related...
-
Financial Analyst, Senior
1 week ago
United States, CA, Oakland Blue Shield of California Full timeYour Role The Enterprise Finance Consolidations and Business System team is responsible for the Company’s consolidated financial statements, forecasting and reporting activities, business systems and administrative expense allocations. The team manages financial forecast and annual planning activities, provide monthly, quarterly, and annual consolidated...
-
Financial Operations Analyst
6 days ago
Reno, NV, United States EMPLOYERS NYSE EIG Full timeFinancial Operations Analyst | Hybrid Schedule – Must live in the greater Reno, NV area General Summary: The Financial Operations Analyst performs the duties and functions related to the management of third-party suppliers, invoicing, purchase orders, vendor management and other finance/treasury related functions. The ideal candidate will have an...
-
Senior Financial Analyst
4 weeks ago
Johnston, RI, United States FM Global Full timeFM Global is a leading property insurer of the world's largest businesses, providing more than one-third of FORTUNE 1000-size companies with engineering-based risk management and property insurance solutions. FM Global helps clients maintain continuity in their business operations by drawing upon state-of-the-art loss-prevention engineering and research;...
-
Controller - Hedge Fund (CT, NY and NJ)
4 weeks ago
New York, NY, United States Eximius Finance Full timeThe Fund Control team is responsible for verifying and reporting daily profit & Ioss to Portfolio Managers, ensuring the portfolios of the Funds are fairly valued, and reviewing and approving the Funds' NAVs prepared by the fund administrators. The team also assists in the preparation and review of annual financial statements, regulatory reporting,...
-
Jersey City, NJ, United States State Street Corporation Full timeJob Description Who we are looking for. DMC (Corporate Functions) is looking for a highly skilled Senior Lead/Application Manager with financial and technical experience to lead the Treasury and Credit Finance technology teams. Candidate should have a demonstrated history in defining and driving transformation initiatives to realize significant...
-
Senior Analyst, CLO Shadow
6 days ago
Lake Mary, FL, United States BNY Mellon Full timeOverview Senior Analyst, CLO Shadow Overview Of BNY Mellon BNY Mellon is a global financial services company focused on helping clients manage and service their financial assets, operating in 36 countries and serving more than 100 markets. BNY Mellon is a leading provider of financial services for institutions, corporations and high-net-worth...
-
New York, NY, United States Goldman Sachs Full timeControllers, Investment Accounting - Analyst We're looking for a bright, proactive, driven professional to join our Controllers team in New York, who is keen to use and develop their technical accounting skills to provide high quality reporting and analysis of our entities' assets and profitability in a challenging and varied environmentWe're seeking a...
-
Vice President, Model Risk Management I
14 hours ago
Pittsburgh, PA, United States BNY Mellon Full timeOverview BNY Mellon Bring your ideas. Make history. BNY Mellon offers an exciting array of future-forward careers at the intersection of business, finance, and technology. We are one of the world's top asset management and banking firms that manages trillions of dollars in assets, custody and/or administration. Known as the "bank of banks" - 97% of the...