Current jobs related to Analyst - Treasury and Capital Strategy - New York, New York - Sumitomo Mitsui Banking Corporation

  • Treasury Analyst

    4 weeks ago


    New York, New York, United States NBCUniversal Full time

    Job 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...

  • 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 Roku Full time

    About the RoleRoku is seeking a highly motivated and experienced Director of Treasury to lead our global finance team with strategic vision and operational excellence. As a key member of our leadership team, you will play a pivotal role in optimizing our capital structure through innovative debt and equity transactions, ensuring robust long-term financial...

  • Treasury Analyst

    2 weeks ago


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

    Job DescriptionThis role is part of the USPB & Wealth Business Treasury team, which is responsible for managing the balance sheet, capital, and liquidity of Citigroup. The team also provides corporate oversight of liquidity, interest rate, and currency translation risks, and supports businesses with risk identification/management, product innovation, and...


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

    Job SummaryCiti Treasury Investments (CTI) is seeking a highly skilled Treasury Capital Markets Leader to lead the investment of Citigroup's major liquidity portfolios and raise long-term debt and capital. The successful candidate will be responsible for executing and strategically overseeing various global borrowings programs, including structured notes,...

  • Treasury Analyst

    1 week 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 Citigroup Inc Full time

    Job SummaryCitigroup Inc. is seeking a highly skilled Treasury Capital Management Leader to join our team. This role will be responsible for managing the balance sheet and capital management for Citibank, N.A. (CBNA), including monitoring key capital metric forecasts and actuals, collaborating with 1LOD and 2LOD partners, and maintaining CBNA's Capital...


  • New York, New York, United States MN8 Energy Full time

    Company Overview:MN8 Energy is a leading independent solar energy and energy storage owner-operator in the U.S. We serve enterprise customers with clean energy and complementary solutions to enable a decarbonized world.Originally founded inside of Goldman Sachs in 2017, our fleet has grown to nearly 3-gigawatts of solar, including 850 projects across 27...


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

    Job SummaryThe Balance Sheet Management Lead Analyst is a strategic professional who stays abreast of developments within Capital Markets and contributes to directional strategy through analysis and collaboration with business and support functions. This role requires experienced commercial awareness and product knowledge, including trading strategies and...


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

    About BounceBounce is a pioneering fintech startup that's revolutionizing debt management for consumers and creditors with its cutting-edge product. Leveraging the power of AI and automation, we create user-friendly experiences that drive positive outcomes for all parties involved.With a team based in Tel Aviv and New York, we've been growing rapidly. We...


  • New York, New York, United States H.I.G. Capital Full time

    Treasury Quant Job DescriptionThe Treasury & Portfolio Finance team at H.I.G. Capital is responsible for the firm's financing, margin, cash, and collateral management. We focus on implementing technology solutions to build highly efficient and scalable processes.Key Responsibilities:Develop and implement financing optimization models to improve margin and...


  • New York, New York, United States MN8 Energy Full time

    Job Summary:The Senior Director of Treasury at MN8 Energy will lead and oversee all aspects of the company's capital markets and project finance activities. This role will work closely with our investment team, tax team, and other treasury members to ensure the company has access to the necessary financial resources to drive its growth and success in the...


  • 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...


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

    {"Responsibilities": "Key ResponsibilitiesAs a Treasury Quantitative Analyst at Capstone, you will be responsible for developing and implementing financing optimization models to improve margin and cost across multiple asset classes and legal agreements. You will also work closely with the IT team to develop and enhance Treasury systems, and develop...


  • 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...

  • 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...


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

    Job SummaryWe are seeking a highly skilled Treasury Capital Management Leader to join our team at Citigroup. As a key member of our finance team, you will be responsible for managing capital, balance sheet, and interest rate risk for our largest operating subsidiary, Citibank, N.A. (CBNA).Key ResponsibilitiesMonitor and manage CBNA's key capital metric...


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

    About the RoleWe are seeking a highly skilled Treasury Associate Manager to join our team at HelloFresh. As a key member of our finance team, you will play a critical role in driving our corporate treasury strategy, leading US cash management, and providing oversight of daily treasury operations.Key ResponsibilitiesCollaborate with Executive Leadership and...


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

    About BounceBounce is a fintech company that is revolutionizing debt management for consumers and creditors with its innovative product. By leveraging the power of AI and automation, Bounce creates user-friendly experiences that drive positive outcomes for all parties involved.With a team based in Tel Aviv and New York, Bounce has been growing rapidly. We...


  • 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...

Analyst - Treasury and Capital Strategy

2 months ago


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

Company Overview:

Sumitomo Mitsui Banking Corporation (SMBC) is a premier global financial institution with a rich legacy spanning over 400 years. Headquartered in Tokyo, SMBC provides a comprehensive suite of financial services, including banking, leasing, securities, credit cards, and consumer finance. With a workforce exceeding 80,000 employees across more than 130 offices in nearly 40 countries, SMBC stands as one of Japan's leading banking groups, trading on major stock exchanges including Tokyo, Nagoya, and New York.

Regional Presence:

In the Americas, SMBC operates in various countries, including the United States, Canada, Mexico, Brazil, Chile, Colombia, and Peru. Leveraging its strong capital base and extensive relationships in Asia, SMBC delivers a wide array of commercial and investment banking services to corporate, institutional, and municipal clients, connecting them to local markets and its expansive global network.

Position Overview:

The anticipated salary range for this position is between $70,762.00 and $82,000. The specific salary will be determined based on the candidate's qualifications, experience, and current market compensation for similar roles. Additionally, this role may be eligible for an annual discretionary incentive award, along with a competitive benefits package.

Work Arrangement:

This position requires a hybrid work model, with an expectation of three days in the office per week (Tuesday to Thursday), subject to change based on organizational needs.

Department Description:

The Balance Sheet and Capital Management team is responsible for overseeing the U.S. capital position of SMBC Americas Holding and its key subsidiaries. This function supports senior management and business stakeholders within the Corporate Treasury Department Americas Division, which reports directly to the U.S. Chief Financial Officer.

Key Responsibilities:

  • Enhance and develop financial forecasting models and conduct detailed analyses to support capital management initiatives.
  • Assist in the implementation of routine and ad-hoc projects within the Capital Management Function, including documentation and status reporting.
  • Gain a thorough understanding of SMBC's regulatory capital requirements and anticipated changes in capital regulations.
  • Conduct research and analyses to support regulatory capital efforts and the overall capital management strategy.
  • Utilize data analytics tools to interpret large datasets effectively.
  • Prepare high-quality presentations for senior leadership and stakeholders.
  • Collaborate across Risk, Finance, and Treasury teams, maintaining foundational knowledge of Treasury disciplines.
  • Support the drafting and updating of relevant Treasury policies.

Qualifications:

  • Minimum of 1 year of experience in the financial industry, particularly in Finance, Treasury, or Risk departments.
  • Bachelor's degree in finance, accounting, mathematics, computer science, or a related field; a Master's degree is preferred.
  • Professional qualifications such as MBA, CFA, FRM, or CPA are highly desirable.
  • Strong analytical and problem-solving skills, with proficiency in Word, Excel, PowerPoint, and Tableau.
  • Coding experience in Python, R, or SQL is preferred.

Additional Information:

SMBC embraces a hybrid workforce model, allowing employees to work from home and from the office. Employees are expected to reside within a reasonable commuting distance of their office location. SMBC is an equal employment opportunity employer, ensuring that all qualified applicants receive consideration for employment without regard to race, color, religion, gender, national origin, disability status, protected veteran status, or any other characteristic protected by law.