New YorkFull TimeFinance
Remotely
capital marketscorporate treasuryfinancial forecastingfixed incomefxinterest rate derivativeshedging strategies
Job Description
📋 Description
- Build and enhance all aspects of our global corporate cash investment program, including
- Monitor and synthesize trends in global financial markets and macroeconomic developments
- Manage relationships with financial partners such as asset managers, custodians and service
- Work with cross-functional partners, as well as external stakeholders, to unlock and manage global
- Build observability tools and deliver data insights relating to investments and yield optimization
- Identify capital markets system needs and work with the respective teams to build the required
🎯 Requirements
- Bachelor's degree or foreign equivalent in Business, Math, Economics, Finance, Statistics
- 7 years of experience in Capital Markets or Corporate Treasury (at least 5 years post-bachelors
- 7 years of experience in investments, interest rate risk management, and global cash management
- 7 years of experience in fixed income, interest rate derivatives, FX, hedging strategies, and
- 7 years of experience in creating financial forecasts and models
- 7 years of experience in financial markets, FX or Fixed Income, in G10 or emerging markets
🎁 Benefits
- Equity
- Company bonus or sales commissions/bonuses
- 401(k) plan
- Medical, dental, and vision benefits
- Wellness stipends
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