Current jobs related to Treasury Analyst - New York - Brown Brothers Harriman
-
Treasury Analyst
2 hours ago
New York, New York, United States NBCUniversal Full timeJob Title: Sr. Treasury AnalystAt NBCUniversal, we're looking for a highly skilled Sr. Treasury Analyst to join our team. As a key member of our Treasury department, you'll play a critical role in providing cash management, forecasting, and oversight, as well as identifying and implementing strategies to mitigate foreign exchange risk across our portfolio of...
-
Assistant Treasury Analyst
2 weeks ago
New York, United States Turner Construction Full timeCash management analyst. This position is responsible for operations in the Treasury group including daily cash management functions, supply chain finance activities, support role for various monthly and quarterly Treasury projects. Location: Positio Treasury, Analyst, Assistant, Supply Chain, Technology, Construction
-
Treasury Business Analyst
2 weeks ago
New York, United States Hedgefund.net Full timeJob Description: Treasury Business Analyst We are seeking an experienced Treasury Business Analyst to join our team. The successful candidate will have a strong background in Corporate Treasury and will play a critical role as the key liaison between the Treasury business and the engineering team. This role involves being the first point of contact for all...
-
Treasury Business Analyst
3 weeks ago
New York, United States Hedge Fund Full timeJob Description: Treasury Business AnalystWe are seeking an experienced Treasury Business Analyst to join our team. The successful candidate will have a strong background in Corporate Treasury and will play a critical role as the key liaison between the Treasury business and the engineering team. This role involves being the first point of contact for all...
-
Treasury Analyst
3 weeks ago
New York, New York, United States New Fortress Energy Full timeAbout the RoleNew Fortress Energy is seeking a highly skilled Treasury Analyst to join our team. As a key member of our finance department, you will play a critical role in ensuring the company maintains adequate daily liquidity and manages its core treasury functions.Key ResponsibilitiesFund accounts in advance of pay runs processed by the accounting team...
-
Treasury Analyst
1 month ago
New York, United States New Fortress Energy Full timeJob DescriptionThe role: NFE is searching for a Treasury Analyst to ensure that the organization maintains adequate daily liquidity at all times and to be responsible for the daily management and enhancement of the core treasury functions. The Treasury Analyst will interface on a regular basis with a number of internal and external stakeholders, including...
-
Treasury Analyst
7 days ago
New York, New York, United States Citigroup Inc Full timeAbout the RoleThe Holding Company Treasury Analyst will play a key role in supporting the management of the group's activities, contributing to multiple Treasury disciplines including Legal Entity Capital management, Liquidity Management, Resolution planning, and Cross affiliate Treasury management.Key ResponsibilitiesSupport the US Holding Company Treasury...
-
Treasury Risk Analyst
2 months ago
New York, United States jcw llc Full timeWe're currently working with an international investment bank who are scaling out their treasury team and therefore seeking a liquidity/treasury risk analyst. This individual will work closely with the treasury manager in monitoring liquidty risks and performing stress tests in line with regulations. Must haves: 3+ years of liquidity risk experience. ...
-
Treasury Analyst with Kyriba
2 weeks ago
New York, United States Robert Half Full timeJob DescriptionJob DescriptionWe are seeking a Treasury Analyst with Kyriba systems experience to join our team in New York. The role offers a long-term contract employment opportunity, where you will be responsible for preparing daily cash forecasts, monitoring account balances and tracking bank fees. As a Treasury Analyst, you will also be instrumental in...
-
Treasury Risk Analyst
2 months ago
New York, United States JCW Full timeWe're currently working with an international investment bank who are scaling out their treasury team and therefore seeking a liquidity/treasury risk analyst. This individual will work closely with the treasury manager in monitoring liquidty risks and performing stress tests in line with regulations. Must haves: 3+ years of liquidity risk experience. Strong...
-
Treasury Risk Analyst
2 months ago
New York, United States JCW Full timeWe're currently working with an international investment bank who are scaling out their treasury team and therefore seeking a liquidity/treasury risk analyst. This individual will work closely with the treasury manager in monitoring liquidty risks and performing stress tests in line with regulations. Must haves: 3+ years of liquidity risk experience. Strong...
-
Senior Treasury Analyst
3 days ago
New York, New York, United States Hartree Partners Full timeJob Title: Senior Treasury AnalystHartree Partners is seeking a highly skilled Senior Treasury Analyst to join our team. As a key member of our Treasury Department, you will be responsible for overseeing the Company's cash management, forecasting, systems, daily transactions, and reporting.Key Responsibilities:Prepare daily cash forecasts and determine daily...
-
Treasury Business Analyst
1 day ago
New York, United States Phyton Talent Advisors Full timeOur Client a Global Investment Bank, is seeking a Senior Business Analyst: We are seeking an experienced Senior Business Analyst with a strong background in Treasury and Repo operations to join our team. The ideal candidate will have hands-on experience with T+1 settlements, cash flow management, reconciliation processes, and clearing operations. Knowledge...
-
Treasury Business Analyst
3 weeks ago
new york city, United States Hedge Fund Full timeJob Description: Treasury Business AnalystWe are seeking an experienced Treasury Business Analyst to join our team. The successful candidate will have a strong background in Corporate Treasury and will play a critical role as the key liaison between the Treasury business and the engineering team. This role involves being the first point of contact for all...
-
Treasury Business Analyst
3 weeks ago
new york city, United States Hedge Fund Full timeJob Description: Treasury Business AnalystWe are seeking an experienced Treasury Business Analyst to join our team. The successful candidate will have a strong background in Corporate Treasury and will play a critical role as the key liaison between the Treasury business and the engineering team. This role involves being the first point of contact for all...
-
Treasury Financial Analyst
2 weeks ago
New York, New York, United States Insight Global Full timeTreasury Analyst RoleWe are seeking a detail-oriented and experienced Treasury Analyst to contribute to our dynamic team. The successful candidate will be responsible for managing legal entities, executing internal funding wires, and ensuring accurate cash management across various internal accounts. This role involves working closely with colleagues to move...
-
Treasury Operations and Financial Analyst
1 month ago
New York, New York, United States BLDG SVC 32 B-J Full timeJob Title: Treasury Operations and Financial Analyst Labor Grade: Department: Finance Reports To: Financial Controller FLSA Status: Exempt, Non-Management About Us:BLDG SVC 32 B-J is dedicated to providing comprehensive benefits and services to its members, ensuring their well-being and financial security. Our core values emphasize Flexibility, Initiative,...
-
Senior Treasury ALM Analyst
3 days ago
New York, United States TD Bank N.A Full timeThe Senior Treasury ALM Analyst conducts and enhance reporting processes, controls frameworks, and/or produces forecast and analytics related to balance sheet asset and liability management (balance sheet and net interest income forecasting, interest Analyst, Business Operations, Treasury, Senior, Leadership, Continuous, Technology, Banking
-
Treasury Risk Analyst
4 weeks ago
new york city, United States JCW Full timeWe're currently working with an international investment bank who are scaling out their treasury team and therefore seeking a liquidity/treasury risk analyst. This individual will work closely with the treasury manager in monitoring liquidty risks and performing stress tests in line with regulations. Must haves: 3+ years of liquidity risk experience. Strong...
-
Senior Treasury Analyst
2 weeks ago
New York, New York, United States Proskauer Rose Full timeSenior Treasury AnalystProskauer Rose is seeking a highly skilled Senior Treasury Analyst to join our team. As a key member of our Treasury team, you will play a critical role in supporting our cash management and financial operations.Key Responsibilities:Develop and maintain the Firm's cash flow forecast and budgetCoordinate daily cash management...
Treasury Analyst
3 months ago
At BBH we value diverse backgrounds, so if your experience looks a little different from what we've outlined and you think you can bring value to the role, we will still welcome your application
What You Can Expect At BBH:
If you join BBH you will find a collaborative environment that enables you to step outside your role to add value wherever you can. You will have direct access to clients, information and experts across all business areas around the world. BBH will provide you with opportunities to grow your expertise, take on new challenges, and reinvent yourself-without leaving the firm. We encourage a culture of inclusion that values each employee's unique perspective. We provide a high-quality benefits program emphasizing good health, financial security, and peace of mind. Ultimately we want you to have rewarding work with the flexibility to enjoy personal and family experiences at every career stage. Our BBH Cares program offers volunteer opportunities to give back to your community and help transform the lives of others.
Join us as a Treasury Analyst
Brown Brothers Harriman is currently recruiting for a Treasury Analyst to join our Treasury team. In this role, you will be responsible for managing liquidity at various institutions within BBH's network of correspondent and sub-custodian banks, applying your training on the mechanics of global payment, clearing, and settlement systems to efficiently distribute cash to fund daily settlements. You will also be expected to accurately project both client and Firm cash flows, investing excess liquidity within approved firm guidelines. This role requires the ability to successfully navigate through ambiguity and think critically. You should be comfortable executing your responsibilities both in close collaboration with the rest of the team and independently.
Some of your key responsibilities include:
Asset, Liability and Liquidity Management
- Compile and monitor client cash projections throughout the day in order to help handle the firm's overall liquidity position and to inform short-term investment decisions.
- Analyze client cash activity and follow-up with client service teams as necessary to better understand changes and trends in client cash flows.
- Understand the firm's principal deposit exposure at all times and ensure that short term investments adhere to the firm's credit and risk policies.
- Accumulate and evaluate client and market activity in order to inform the decisions made by management on risk and balance sheet capacity.
- Troubleshoot and raise issues that may be vaguely defined and require immediate attention.
- Monitor the firm's asset, liability and liquidity metrics.
- Interact with bank counter parties to ensure the efficient and responsible investment of liquidity.
- Translate and interpret information from various audiences (e.g. cash correspondents, internal departments, etc.).
- Share observations and inquiry-related discussions with the team to ensure action steps and follow-up messages are closely coordinated.
- Prepare reports of cash balances, investment performance, principal cash exposures, and risk positions to inform senior personnel decision-making.
- Interact closely with Investor Services and Operations to understand client cash movements and trends.
- Promptly communicate asset/liability and liquidity needs or concerns to Treasury management.
- Bachelor's degree in finance, accounting or related discipline preferred.
- 2+ years relevant work experience.
- Prior financial services industry experience preferred.
- Strong analytical, quantitative and problem-solving skills.
- Strong organizational skills, diligence and attention to detail.
- Basic understanding of accounting and asset/liability management.
- Dependable with market deadlines and the ability to deal with ambiguity.
- Collaborative and supportive among a team setting.
- Proficient Microsoft Office aptitude, particularly with Excel.
- Excellent communication skills, both written and oral.
- High level of integrity, ethics and professionalism.
This role is based in our New York City location and is a hybrid role, with three days per week in office.
We are an equal opportunity employer and all qualified applicants will receive consideration for employment without regard to race, color, religion, gender, national origin, age, genetic information, creed, marital status, sexual orientation, gender identity, disability status, protected veteran status, or any other protected status under federal, state or local law.
Salary Range
$75k-$85k base salary + annual bonus target
BBH's compensation program includes base salary, discretionary bonuses, and profit-sharing. The anticipated base salary range(s) shown above are only for the indicated location(s) and may differ in other locations due to cost of living and labor considerations. Base salaries may vary based on factors such as skill, experience and qualification for the role. BBH's total rewards package recognizes your contributions with more than just a paycheck-providing you with benefits that enhance your experience at BBH from long-term savings, healthcare, and income protection to professional development opportunities and time off, our programs support your overall well-being.