A leading financial institution is seeking an experienced Director, Treasury Operations professional to oversee daily operational activities across a multi-product treasury environment. This role will be responsible for ensuring the timely and accurate processing, settlement, reconciliation, and control of treasury transactions across money markets, securities, derivatives, FX, repos, and related products.
The position will work closely with Front Office, Operations, Technology, and external banking and custody partners to maintain accurate cash positions, resolve trade and settlement issues, and strengthen operational controls. The role offers significant exposure to treasury products, trading systems, cash management, and process improvement.
Responsibilities
- Oversee daily treasury operations across money market, securities, derivatives, FX, and repo products.
- Reconcile daily P&L, positions, pricing, and cash activity between trading and operational systems.
- Verify and confirm trades and monitor settlements, fails, and outstanding transactions.
- Maintain accurate daily cash positions and coordinate funding transfers as needed.
- Monitor nostro, custody, transit, and control accounts and resolve discrepancies.
- Process and reconcile variation margin, collateral, and margin calls.
- Monitor FX, bond, repo, futures, and options positions and P&L.
- Process treasury-related payments, journal entries, trade assignments, and adjustments.
- Coordinate with Front Office to investigate and resolve trade, valuation, and settlement discrepancies.
- Maintain operational controls, procedures, reporting, statistics, and supporting documentation.
- Prepare treasury and pledged asset reports for internal stakeholders.
- Identify opportunities to improve treasury processes, controls, and operational efficiency.
Requirements
- 5+ years of experience in treasury operations, capital markets operations, or a related financial services environment.
- Strong experience supporting treasury products such as securities, money markets, repos, derivatives, FX, or futures and options.
- Experience with trade processing, settlement, reconciliation, and cash management.
- Strong understanding of P&L, position, pricing, and cash reconciliation processes.
- Experience working with trading, treasury, custody, or settlement platforms.
- Ability to investigate and resolve operational discrepancies independently.
- Strong understanding of operational controls and risk management practices.
- Advanced Excel skills with the ability to maintain and analyze operational reporting.
- Strong attention to detail and ability to manage time-sensitive daily processes.
- Excellent communication skills and ability to collaborate with Front Office and other internal teams.
- Bachelor's degree in Finance, Accounting, Business, or a related field preferred.