- PVH Corp. (New York, NY)
- …to Inclusion & Diversity here (https://www.pvh.com/company/inclusion-diversity) . **About the Role:** The Senior Manager , Treasury FX and Capital ... related with the scope of the Senior Manager , Treasury in the FX ...different scenarios. + Strong understanding of risk management, including foreign exchange and interest rate risk management,… more
- Institute of Electrical and Electronics Engineers (Piscataway, NJ)
- …bank service charges and other ad-hoc reporting. The role typically reports to the Senior Manager of Treasury Operations. This position works under the ... Treasury Analyst (E2393) - 240331 : KNW-A20 Description...International bank accounts (including VAT accounts), money market investments, foreign exchange conversion, Assist in preparation of… more
- Deloitte (Jersey City, NJ)
- …client relations through advisory services, solution design and delivery. SAP Treasury Senior Consultant: The position provides excellent opportunity for: ... for an experienced SAP treasury transformation and treasury technology delivery Senior Consultant to join...go-live. + Hands-on expertise with any of the SAP Treasury core components (ie Cash management, Transaction manager… more
- JPMorgan Chase (New York, NY)
- …by the Treasury /Chief Investment Office include structural interest rate and foreign exchange risk. Products utilized include long-term debt, fixed income ... swaps and credit related products. As a Controller - Senior Associate within the Treasury /Chief Investment Office,...transactions in TCIO globally + Report to the direct manager located in London, coordinate the discussions with different… more
- Bank of America (Iselin, NJ)
- …domestic and international teammates throughout the bank, including Investment Banking, Foreign Exchange , and Wealth Management and facilitates client ... Sr . Relationship Manager - Global Commercial...wide range of solutions to NBFI's globally including Global Treasury Services, Credit, Global Markets products, Capital Raising &… more
- Citigroup (New York, NY)
- …that have FX risk in the Banking Book. Provide support to the NTMR manager to liaise with businesses, legal entity treasury , CTI and Markets Treasury , ... The BSM NTMR senior analyst exhibits understanding of bank balance sheet...7 to 10 + years experience in Financial Services, Treasury , and 1st line foreign currency risk… more
- Citigroup (New York, NY)
- …that have FX risk in the Banking Book. Provide support to the NTMR manager to liaise with businesses, legal entity treasury , CTI and Markets Treasury , ... BSM NTMR analyst provides support to the BSM NTMR manager with bank balance sheet management and optimization, balancing...priorities and how other Non-Trading Market Risk such as Foreign Currency Risk in the Banking book (FXRBB), contributes… more
- Citigroup (New York, NY)
- The BSM NTMR Manager exhibits in-depth understanding of bank balance sheet management and optimization, balancing financial resources among different competing ... of cash into debt investment securities contribute to achieving Corporate Treasury 's balance sheet optimization objectives and Citi's strategic goals. Requires… more
- Scotiabank (New York, NY)
- Senior Manager , US Finance & Regulatory Reporting - Audit **Requisition ID:** 208343 **Salary Range:** 110,700.00 - 211,800.00 _Please note that the Salary Range ... sales, trading and research, fixed income products, derivatives, energy, foreign exchange and precious & metals. We...together to drive ambition for every future! **Purpose** The Senior Manager , US Finance & Regulatory Reporting… more
- HSBC (New York, NY)
- **Description** ** Senior Audit Manager , HSBC Technology & Services (USA) Inc., New York, NY:** Lead front-to-back audits of Markets and Securities Services (MSS) ... $183,745 per year. #LI-DNI **Qualifications** Must have a Bachelor's degree or foreign equivalent in Accounting, Finance, Economics, Financial Economics or a closely… more
- Citigroup (New York, NY)
- Citi's Treasury and Trade Solutions (TTS) offers integrated cash management and trade services and finance to multinational corporations, financial institutions and ... front office client facing role which involves speaking with Treasury /Finance Directors at supplier organizations to sell the Payables...g, Nirvana + Execute on cross sell opportunities (eg FX , PO, Deep Tier, CCB) and explore industry trends… more
- Scotiabank (New York, NY)
- …institutional equity sales, trading and research, fixed income products, derivatives, energy, foreign exchange and precious & metals. We also cross-sell the ... Manager , US Internal Control - E-Communication Surveillance **Requisition...need to interact from time to time with the senior management of GBM and Group Treasury … more
- JPMorgan Chase (Jersey City, NJ)
- JP Morgan Payments provides cash management, liquidity, commercial card, foreign exchange , and escrow solutions globally. Treasury Services, a key line of ... enhancing user interfaces while ensuring speed, security, and cost-effectiveness. As a Business Manager , you will support the JPM Payment Rails PSS and Treasury … more
- Federal Reserve Bank (New York, NY)
- …and foreign exchange policy, providing payments and custody services to foreign central banks, and auctioning and issuing Treasury debt as the fiscal ... agent for the US Treasury . The Markets Group Program and Change Management team...Markets Program and Change Management team is seeking a senior associate to provide leadership to and coordination of… more
- Scotiabank (New York, NY)
- …institutional equity sales, trading and research, fixed income products, derivatives, energy, foreign exchange and precious & metals. We also cross-sell the ... Manager , US Internal Control and Global Wholesale Operations...work as part of the team and assist the Senior Managers and/or Director, US Internal Control & Global… more
- Citigroup (New York, NY)
- …measures and defines management frameworks and policies for non-trading interest rate, foreign exchange , equity, credit spread and commodity risks. + **Funds ... The BSM function is a division of circa 200 professionals within Treasury and is part of Citigroup's broader Finance organization. BSM's specific responsibilities… more
- Citigroup (New York, NY)
- …that have FX risk in the Banking Book. Provide support to the NTMR manager to liaise with businesses, legal entity treasury , CTI and Markets Treasury , ... BSM NTMR analyst provides support to the BSM NTMR manager with bank balance sheet management and optimization, balancing...priorities and how other Non-Trading Market Risk such as Foreign Currency Risk in the Banking book (FXRBB), contributes… more
- TD Bank (New York, NY)
- …on Non-Trading Market Risk (Interest Rate Risk on Banking Book or Treasury /Balance Sheet Risk Management). A non-trading market risk management position with ... oversight of the US Treasury team, which is responsible for measuring and managing...appropriate reporting is provided on a timely basis to Senior Management and/or the Board + Drives and builds… more
- SMBC (Jersey City, NJ)
- …and exception reports covering range of risks and products (equities, fixed income, FX / treasury services, futures, swaps and other derivatives); + Perform market ... on the compliance risks and issues to SMBC and the Global Compliance Senior Management. Additionally, the SMBC Compliance Department works closely with the Global… more