- Mizuho Corporate Bank (New York, NY)
- Assistant Vice President - Collateral Management Key Responsibilities: + You will process margin calls and provide oversight and supervision of the daily margin ... internal systems and external platforms + Regular communication with Treasury , Repo, XVA & Trading Desks, and Head Office...escalations of margin call disputes + Responsible for the management and resolution of cash and non-cash collateral fails… more
- IBM (Hopewell Junction, NY)
- …(P2P), Order to Cash (O2C), Financial Planning & Analysis (FP&A), Tax, and Treasury -and have a strong point of view on how emerging technologies, including agentic ... on optimizing finance operations across R2R, P2P, O2C, FP&A, Tax, and Treasury processes. * Develop and articulate a forward-looking perspective on the future… more
- JPMorgan Chase (New York, NY)
- …communication skills to join the team. Structural risks managed by the Treasury /Chief Investment Office include structural interest rate and foreign exchange risk. ... 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
- Citigroup (New York, NY)
- …goals. Citi's Services division offers the industry's most comprehensive suite of Treasury and Trade Solutions (TTS) including cash management , payments, ... management governance. + A disciplined approach to sales management and ideally relevant experience in Treasury ...in leading and managing teams. + Extensive direct people management experience. + An accomplished Business Manager … more
- M&T Bank (Buffalo, NY)
- …communicate results, including graphic and tabular forms, to fellow team members, Treasury management and Bank-wide stakeholders, including the business lines ... for credit risk, interest rate risk and liquidity risk management , as well as balance sheet and capital planning....to detail, execution and follow-up on multiple initiatives with Treasury and across the Bank. The ability to identify,… more
- NYSERDA (Albany, NY)
- …+ Controller and Treasury , which spans accounting operations, payroll, treasury management , financial reporting, detailed budget development, and oversight ... Planning and Analysis including municipal finance, and entity-wide Controls and Risk Management . The CFO collaborates with other NYSERDA officers and other NYS… more
- TD Bank (New York, NY)
- …make an impact with top tier organizations. We offer innovative solutions and treasury advisory services on large and complex liquidity, payments, and trade finance ... of four business lines: Global Trade Finance ("GTF"), Corporate Cash Management ("CCM"), Financial Institutions ("FI"), and Export and Agency Finance ("EAF").… more
- Neuberger Berman (New York, NY)
- …join the finance team that is responsible for the financial and investor reporting, treasury and capital management , and performance measurement / analysis for a ... + Provide assistance and support to the RE Tax Manager , Investor Relations and Legal teams + Provide guidance...the up-stream investment and Carried Interest vehicles + Support Treasury operations, including cash liquidity management , wire… more
- New York Power Authority (White Plains, NY)
- …is part of the Controller's organization and reports to the Senior Manager , Reporting & Technical Accounting. The individual will support the Controllers team ... and prepare quality quantitative and qualitative analysis for senior management . Responsibilities include preparing financial reports, supporting audits, gathering… more
- Citigroup (New York, NY)
- …**Ability to be client-focused and results-oriented.** **Comprehensive knowledge of treasury modeling and philosophy (funding model, cash management ... and external audiences to ensure timely problem resolution.** **Partner with Relationship Manager and Product Partners to perform various tasks for Know Your Client… more