- HSBC (Buffalo, NY)
- …be an advantage. + Knowledge of day-to-day workings of a Corporate Treasury environment, foreign exchange , intercompany loans, payroll, and payments, ... Senior Account Manager Brand: HSBC Area of Interest: Location: Buffalo,...through Client Service Reviews, coordination of a clients global Treasury and Cash Management initiatives and projects, and proactively… more
- Scotiabank (New York, NY)
- …and transaction engine of Scotiabank. We support Small Business, Commercial and Corporate clients with effective treasury management solutions coupled with a ... Senior Manager , Business Risk Management US GTB **Requisition ID:**...management, DDA accounts with multi-currency support, correspondent banking, Spot FX , etc.); + Knowledge in the operational aspects, compliance… more
- Bank of America (New York, NY)
- …CFO organization. The GFX & LCT trading desk provides clients with market-making services in foreign exchange (" FX ") spot, swaps, forwards and options in G10 ... and regulatory reporting, balance sheet management, financial planning and analysis, treasury , investor relations, corporate investments and tax Global Banking… more
- JPMorgan Chase (New York, NY)
- …strong relationships, and the implementation of sophisticated Payments solutions, including treasury services, liquidity, FX , card, and merchant processing. You ... Real Estate Payments Sales team! As a Payments Sales Manager (PSM) in Real Estate, you will be a...companies at senior and strategic levels to provide integrated treasury solutions within a consultative and client-driven framework +… more
- Deloitte (Jericho, NY)
- Manager - Capital Markets Operations and Technology Our Enterprise Operations & Risk offering enables clients to achieve profitable growth and competitive advantage ... opportunities to build credibility with and add value to our clients. As a Manager , you will have opportunities to: + Lead project teams and junior practitioners in… more
- BlackRock (New York, NY)
- …products (CMBS, ABS, Non-Agency MBS and CLOs). Clients include pension funds, corporate treasury departments and retail investors, with portfolio types spanning ... iShares(R) ETFs. Elevate your career by joining the world's largest asset manager ! Thrive in an environment that cultivates positive relationships and recognizes… more
- TD Bank (New York, NY)
- …with macroeconomic conditions, unprecedented levels of innovation, interest rate environments, and foreign exchange movements. As a result, all GTB business ... supports a wide range of capital market products and services to corporate , government, and financial institution ("FI") clients through Transaction Banking ("TB"), … more
- JPMorgan Chase (New York, NY)
- …by the Treasury /Chief Investment Office include structural interest rate and foreign exchange risk. Products utilized include long-term debt, fixed income ... products. As a Global Controller - Associate within the Treasury /Chief Investment Office, you will collaborate with front office...on a global scale + Report to the direct manager located in London, coordinate the discussions with different… more
- TD Bank (NY)
- …on Non-Trading Market Risk (Interest Rate Risk on Banking Book or Treasury /Balance Sheet Risk Management). A non-trading market risk management position with ... oversight of the US Treasury team, which is responsible for measuring and managing...2-4 years of experience + Knowledge of interest rate, FX , and equity risk, including models and key assumptions… more
- JPMorgan Chase (New York, NY)
- …by the firm. Locations: New York, NY + **Chief** **Investment** **Office,** ** Treasury ** **and** ** Corporate ** **(CTC)** **Risk** **Team:** Manage the risk of ... training, mentorship, and engaging projects to develop your expertise. As a risk manager in our Commercial & Investment Bank (CIB), you'll help manage our financial… more