Treasury & Liquidity Analyst - Hybrid

SNI Financial

United States

Hybrid

USD 90,000 - 130,000

Full time

12 days ago
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Job summary

SNI Financial, on behalf of a premier asset manager, is seeking a Treasury Associate in the United States. This highly visible role will manage cash management functions, oversee fund financing and deal funding, ensure liquidity, and support the firm's growth plan by maintaining the treasury system.

You will work closely with deal teams to fund transactions, oversee foreign exchange hedging, and manage liquidity and treasury operations.

Qualifications

  • 5+ years of complex treasury experience including treasury operations and cash management.
  • Experience owning treasury functions and handling complex treasury products.
  • Foreign exchange hedging experience preferred; exposure to fixed income is a plus.

Responsibilities

  • Work with deal teams to ensure deals are funded.
  • Oversee FX transactions and hedging.
  • Overseeing fund financing and liquidity.
  • Maintain the treasury system and perform cash management functions.

Skills

Treasury operations
Cash management
Foreign exchange (FX) hedging
Deal funding

Tools

Treasury system
FX hedging tools

Job description

SNI Financial, on behalf of a premier asset manager, is seeking a Treasury Associate in the United States. This highly visible role will manage cash management functions, oversee fund financing and deal funding, ensure liquidity, and support the firm's growth plan by maintaining the treasury system.

You will work closely with deal teams to fund transactions, oversee foreign exchange hedging, and manage liquidity and treasury operations.

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