Enable job alerts via email!

Treasury Trader, Liquidity Management & Money Markets Director

ING Group

New York (NY)

Hybrid

USD 216,000 - 273,000

Full time

Yesterday
Be an early applicant

Boost your interview chances

Create a job specific, tailored resume for higher success rate.

Job summary

A leading company in financial services is seeking a Treasury Trader specialized in Liquidity Management. You will trade in Commercial Paper and Repo markets while managing day-to-day liquidity operations. This role requires over 10 years of experience, strong analytical skills, and Series 7 and 63 licenses, with a competitive salary range reflecting this expertise.

Benefits

Comprehensive health benefits
Generous 401k savings plan
Competitive PTO
Adoption, surrogacy, and fertility services
Student debt assistance
Commuting and fitness subsidies

Qualifications

  • 10+ years of work experiences in Treasury, Liquidity or Operations within a bank or financial institution.
  • Must hold Series 7 and 63 licenses or obtain them within three months of onboarding.
  • Experience in issuance of Commercial Paper and/or Certificates of Deposit.

Responsibilities

  • Executing daily Treasury liquidity management and funding activities.
  • Issuing US Commercial Paper and managing liquidity gaps.
  • Monitoring Liquidity Management P&L.

Skills

Analytical skills
Organizational skills
Communication skills
Knowledge in Python
Knowledge in SQL
Knowledge in VBA

Tools

Anvil
Murex
Microsoft applications

Job description

Group Treasury | Treasury Trader- Liquidity Management and Money Markets, Director | NYC

About ING :

In Americas, ING's Wholesale Banking division offers a broad range of innovative financial products and services to domestic and international corporate and institutional clients.

When you come to work at ING, you're joining a team where individuality isn't just accepted, it's encouraged. We've built a culture that's fun, friendly and supportive - it's the kind of place where you can be yourself and make the most of whatever you have to offer.

We give people the freedom to take risks, think differently, take ownership of their work, and make great things happen. We're here to help you get ahead. And with our global network, there's plenty of scope to take your career in new directions, perhaps even ones you've never considered. ING Americas follows a hybrid work model, allowing for in-office / work from home flexibility. Hybrid work arrangements vary based on business area.

Sound like the kind of place you'd feel at home? We'd love to hear from you.

About the position :

We are seeking a highly motivated and detail-oriented experienced professional to join the Group Treasury at ING Americas. This person will be active in trading Commercial Paper and Repo markets and be involved with the day to day functioning of the liquidity management desk. Person should be familiar with daily cash forecasting and collateral management and be Series 7 and 63 licensed.

Group Treasury at ING Americas is responsible for the managing and monitoring of ING's capital, funding and liquidity positions both in business-as-usual and stress situations.

The GT function organizes risk and funding transfers from the business lines to the Group Treasury books, by taking funding from both the local market and from Group funding. They manage all associated interest rate, FX and liquidity risks through the usage of interest rate and FX derivatives. Furthermore the GT is responsible for advising the business lines on pricing and potential balance sheet risks of lending and deposit products

Responsibilities :

The candidate will be responsible for executing daily Treasury liquidity management and funding activities including :

  • Issuing US Commercial Paper and management of liquidity gaps,
  • Execute US Treasury and Mortgage Backed Securities repo on multiple dealer platforms,
  • Review daily cash flow and working closely with cash management support to manage intraday liquidity,

Price and execute various USD and non-USD daily funding activities for our internal commercial business needs,

  • Monitor Non-USD funding needs and source funds from Head Office to meet those needs on a timely basis,
  • Work closely with Risk Management in managing the monthly term funding profile and assist in Liquidity Coverage Ratio (LCR) management,
  • Monitor Liquidity Management P&L.

Qualifications and Competencies

  • 10+ years of work experiences in Treasury, Liquidity or Operations within a bank or financial institution
  • Must hold Series 7 and 63 licenses or obtain them within three months of onboarding.
  • Experience in issuance of Commercial Paper and / or Certificates of Deposit
  • Experience in Repo markets
  • Excellent analytical, organizational and communication skills
  • Anvil & Murex experience is a plus
  • Proficient in Microsoft applications
  • Knowledge in Python and / or SQL / VBA preferred

Salary Range $216,000-$273,000

In addition to comprehensive health benefits, a generous 401k savings plan, and competitive PTO, ING provides a broad array of benefits including adoption, surrogacy, and fertility services; student debt assistance; and subsidies for expenses associated with commuting and fitness.

ING is a committed equal opportunity employer. We welcome applicants of diverse backgrounds and hire without regard to race, gender, religion, national origin, citizenship, disability, age, sexual orientation, or any other characteristic protected by law. We celebrate these differences and rely upon your unique perspective to innovate and seize new opportunities. Come as you are.

ING Bank does not have a commercial banking license in the U.S. and therefore not permitted to conduct a commercial banking business in the U.S. Through its wholly owned subsidiary ING Financial Services LLC, and its affiliates, it offers a full array of wholesale products such as commercial lending and a full range of FM products and services.

Get your free, confidential resume review.
or drag and drop a PDF, DOC, DOCX, ODT, or PAGES file up to 5MB.

Similar jobs

Treasury Trader, Liquidity Management & Money Markets Director

ING Americas

New York null

Hybrid

Hybrid

USD 216,000 - 273,000

Full time

12 days ago

Treasury Trader, Liquidity Management & Money Markets Director

ING Group

New York null

Hybrid

Hybrid

USD 216,000 - 273,000

Full time

18 days ago

Salesforce Banking & Financial Markets Industry GTM Leader (Remote)

NTT DATA, Inc.

Plano null

Remote

Remote

USD 188,000 - 297,000

Full time

4 days ago
Be an early applicant

Salesforce Banking & Financial Markets Industry GTM Leader (Remote)

Applicable Limited

Plano null

Remote

Remote

USD 188,000 - 297,000

Full time

7 days ago
Be an early applicant

Recovery and Resolution Planning - Head of RRP Non-Financial Capabilities, Controls, and Testing

Illinois CPA Society

New York null

On-site

On-site

USD 250,000 - 500,000

Full time

7 days ago
Be an early applicant

Clean Fuels / Credits Broker (RINs, LCFS, CFR)

LPS FUTURES LIMITED

null null

Remote

Remote

USD 10,000 - 300,000

Full time

Today
Be an early applicant

Senior FFA Freight Derivatives Trader - Commodity Trading

Aurex Group

New York null

On-site

On-site

USD 200,000 - 300,000

Full time

Today
Be an early applicant

G10 Trader (AVP/VP), FX Options (Hybrid, NYC)

Citi

New York null

On-site

On-site

USD 175,000 - 250,000

Full time

Yesterday
Be an early applicant

Freight Broker - Agent

Primary Companies

Green Bay null

Remote

Remote

USD <500,000

Full time

2 days ago
Be an early applicant