Current jobs related to Senior Treasury Analyst - New York, New York - AIG


  • New York, New York, United States Hartree Partners Full time

    Job 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...


  • New York, New York, United States Checkout Full time

    Job Title: Senior Analyst, Regional TreasuryWe are seeking a highly driven and energetic Senior Analyst to expand and support our Treasury Payments team in New York.Role Overview:The ideal candidate will be highly strategic, operational, and will deploy an owner mindset. They will be well-organized, adaptable to the changing demands of the role, and capable...


  • New York, New York, United States Motus Full time

    Job SummaryMotus is seeking a highly skilled Senior Treasury Analyst to join our team. As a key member of our finance department, you will be responsible for performing a wide range of global cash movement transactions and supporting the complete range of Treasury activities.ResponsibilitiesMonitor cash flow and ensure optimal liquidity to meet financial...


  • New York, New York, United States Proskauer Rose Full time

    Senior 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...


  • New York, New York, United States Proskauer Rose Full time

    Senior Treasury AnalystProskauer is seeking a highly skilled Senior Treasury Analyst to join our team. As a key member of the Treasury team, you will play a critical role in supporting the Firm's cash management and financial operations.Key Responsibilities:Oversee the preparation of the Firm's cash flow forecast and budget, ensuring accurate and timely...


  • New York, New York, United States Hartree Partners Full time

    Job SummaryHartree 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 ResponsibilitiesDevelop and maintain accurate daily cash forecastsDetermine daily...


  • New York, New York, United States Proskauer Rose Full time

    Senior Treasury AnalystProskauer is seeking a highly skilled Senior Treasury Analyst to join our team. As a key member of the Treasury team, you will play a critical role in supporting the Firm's cash management and financial operations.Key Responsibilities:Develop and maintain the Firm's cash flow forecast and budgetCoordinate daily cash management...


  • New York, New York, United States Checkout Full time

    Job DescriptionAt Checkout, we're seeking a highly-driven and energetic Senior Analyst to expand and support our Treasury Payments team in New York. This role will also support processes with our teams in Brazil, providing ongoing backup and consistency across a cross-regional Americas Treasury team.Key ResponsibilitiesExecute daily reconciliation and...

  • Treasury Analyst

    2 weeks ago


    New York, New York, United States Citigroup Inc Full time

    About the RoleCitigroup Inc is seeking a highly skilled Treasury Analyst to join our team. As a Treasury Analyst, you will play a key role in supporting the Executive Decision Support function within the USPB & Wealth Business Treasury team.Key ResponsibilitiesProvide analytical support on Treasury matters to all product lines across USPB & Wealth to help...


  • New York, New York, United States Checkout Full time

    We're Checkout, the strategic payments partner for leading global brands. Our mission is to empower businesses and their communities to thrive in the digital economy.Our flexible cloud-based payments platform helps global enterprises launch new products and create experiences customers love.We're building diverse and inclusive teams around the world to...


  • New York, New York, United States Checkout Full time

    Role OverviewTo support our continued growth in the US, Checkout is now actively seeking a highly-driven and energetic Senior Analyst to expand and support our Treasury Payments team in New York.The role will also support processes with our teams in Brazil, providing ongoing backup and consistency across a cross-regional Americas Treasury team.Key...


  • New York, New York, United States Forum Group Connecticut, LLC Full time

    Senior Treasury AnalystForum Group Connecticut, LLC is seeking a seasoned Senior Treasury Analyst to join our team in the heart of NYC. As a rapidly growing global trading firm, we pride ourselves on fostering a collaborative and supportive environment where top talent is recognized and rewarded.This role is perfect for a treasury professional with at least...

  • Treasury Analyst Lead

    2 weeks ago


    New York, New York, United States Citigroup Inc Full time

    Job SummaryCitigroup Inc. is seeking a highly skilled Treasury Analyst Lead to join our USPB & Wealth Business Treasury team. As a key member of our team, you will provide analytical support on Treasury matters to all product lines across USPB & Wealth, driving alignment of business goals with firm-wide objectives.Key ResponsibilitiesProvide analytical...

  • Financial Analyst

    2 weeks ago


    New York, New York, United States Sumitomo Mitsui Banking Corporation Full time

    Job Title: Financial Analyst - CUSO Corporate TreasurySMBC Group is a top-tier global financial group with a 400-year history. Our diverse range of financial services includes banking, leasing, securities, credit cards, and consumer finance. With over 130 offices and 80,000 employees worldwide in nearly 40 countries, we offer a unique opportunity to work in...

  • Treasury Analyst

    2 weeks ago


    New York, New York, United States Citigroup Inc Full time

    Job SummaryThe Holding Company Treasury Analyst will play a crucial role in contributing to multiple Treasury disciplines, including Legal Entity Capital management, Liquidity Management, Resolution planning, and Cross-affiliate Treasury management.This role will require the candidate to learn all aspects of the Holding company Legal entity Treasury group...


  • New York, New York, United States Proskauer Rose Full time

    Job SummaryProskauer is seeking a skilled Treasury Financial Analyst to support the Treasury team workflow. The ideal candidate will have a strong background in finance and accounting, with experience in cash management, financial analysis, and system implementations.Key ResponsibilitiesOversee the preparation of the Firm's cash flow forecast and...


  • New York, New York, United States TD Bank Group Full time

    Job Summary:The Senior Treasury ALM Analyst will be responsible for conducting and enhancing reporting processes, controls frameworks, and/or producing forecast and analytics related to balance sheet asset and liability management. This role will also provide analytical support to senior teammates regarding ongoing projects, as well as leadership regarding...


  • New York, New York, United States Insight Global Full time

    We are seeking a detail-oriented and experienced Treasury Financial Analyst to join our dynamic team at Insight Global.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...


  • New York, New York, United States AIG - American International Group, Inc. Full time

    AIG Treasury OverviewAIG Treasury is a global organization within the Finance division of AIG, responsible for various aspects of the company's financial management.Key ResponsibilitiesLiquidity Management: AIG Treasury manages the company's liquidity to ensure smooth operations and meet financial obligations.Capital Management: The team is responsible for...


  • New York, New York, United States Citigroup Full time

    Job Title: Balance Sheet Management Lead AnalystJoin Citigroup as a Balance Sheet Management Lead Analyst and contribute to the development of strategic plans that drive business growth and profitability.Key Responsibilities:Partner with Equities and Fixed Income businesses to optimize liquidity and capital resourcesDevelop and implement process improvements...

Senior Treasury Analyst

2 months ago


New York, New York, United States AIG Full time
About the Role

The AIG Corporate Treasury is responsible for maintaining the safety of the Company's global liquidity. The Collateral Management Group operates within the Treasury Group and is responsible for firm-wide governance and control around collateral, which includes defining, implementing, and maintaining an enterprise-wide infrastructure to support policies, procedures, control, and efficiencies.

Key Responsibilities:

  • Establishing AIG Policies, Guidelines, and Standards for Collateral
  • Firm-wide administration and monitoring compliance with AIG's Firm-Wide Collateral Management Policy and Procedures
  • Firm-wide collateral reporting and collateral risk management
  • Global safekeeping of Letters of Credit and Trusts
  • Overseeing and monitoring of the collateral processes globally
  • Providing subject matter expertise related to collateral offset

Job Requirements

The Collateral Management Group is seeking a Senior Analyst to support the risk and reporting function. The analyst will work directly with multiple business units to review and process transactions, as well as cross-trained in supporting other processes.

Key Responsibilities:

  • Risk Management and Reporting of collateral portfolio, including evaluation of concentration, monitoring against legal terms
  • Monitoring, Reporting, and Resolution of non-standard collateral terms and working with business units to resolve
  • Producing monthly and quarterly enterprise-wide collateral management reporting to internal management committees
  • Supporting various business units in identifying opportunities to improve collateral processes or transaction structures
  • Liaising with internal stakeholders, clients, and brokers on collateral transactions and issue resolution

Requirements

We are looking for a candidate with:

  • 3+ years of risk management, finance, or investment securities experience
  • Expert user of MS Office applications - Excel, Word, PowerPoint
  • Strong time management, prioritization, and organizational skills with the ability to multi-task
  • Strong written communication skills with the ability to work globally and across business functions
  • Self-motivated and ability to take initiative
  • Analytical and meticulous problem-solving skills
  • Excellent verbal and written communication and interpersonal skills with the ability to interact professionally with a diverse group, executives, managers, and subject matter experts

Benefits

AIG offers a range of competitive benefits, including a comprehensive benefits package that extends beyond time spent at work to offer benefits focused on your health, wellbeing, and financial security, as well as your professional development.