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Global consulting firm is seeking a NYC-based risk and treasury advisory professional to join our client-facing team. This role is office-based, with candidates locals to NYC preferred.
The position requires 2–5 years of experience in capital markets and corporate treasury, with strong Excel skills and the ability to advise on risk and hedging strategies.
Client: Global consulting firm that provides risk and treasury management solutions to corporate clients. They help companies improve their treasury efficiency (liquidity, cash management, asset/liability management) and manage financial risks (interest rates, commodity, and FX exposures).
General responsibilities : Advise companies on understanding their risk, provide risk management framework, advise on financial structures/hedging strategies etc.
Requirements : 2-5 years of experience. General knowledge of capital markets. Knowledge of corporate treasury. Understanding of derivatives and financial products. Analytical mindset. Strong Excel. No 2025 grads please.
Location : NYC, 5 days/week in office. We are looking for local candidates only. There is no relocation offered for this role.
Please note that visa sponsorship is not available for this role.
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