We are supporting an international organization in their search for a Treasury Cash Management Analyst to join their team in Warsaw. The organization is recognized for its commitment to operational excellence innovation and professional development. Their Warsaw office plays a strategic role in supporting both regional and global functions fostering a culture of collaboration and continuous improvement.
As a Treasury Cash Management Analyst you will play a key role in daily cash management funding execution and collateral management supporting the implementation of new treasury systems and enhancing operational efficiency.
Key responsibilities include:
- Tracking payables and receivables in nostro accounts and reconciling cash breaks.
- Executing funding secured and unsecured bank loans and arrangement of fail funding.
- Managing collateral including margin requirements and stock borrow/loan activities.
- Maintaining strong relationships with banks and facilitating business development with relationship banks.
- Liaising with operations to ensure smooth settlement of funding transactions.
- Administering SBL functions including static data cash pool rates and billing reconciliation.
- Supporting the implementation of new Treasury Management Systems and process improvements.
- Being alert to conduct risk issues and supporting a culture of compliance and integrity.
The ideal candidate will bring:
- Experience in treasury management or cash management within the financial services sector.
- Knowledge of funding execution nostro accounts and collateral management.
- Advanced Excel and PowerPoint skills; experience with Oracle and Essbase is an advantage.
- Strong organizational and prioritization skills with the ability to deliver under tight deadlines.
- Excellent communication skills and a team-focused approach.
- Confident self-motivated and adaptable in a dynamic environment.
- Fluency in English both written and spoken.
This is a unique opportunity to contribute to the treasury operations of a respected international organization and to collaborate with a wide range of stakeholders across multiple jurisdictions.
Required Experience:
IC
We are supporting an international organization in their search for a Treasury Cash Management Analyst to join their team in Warsaw. The organization is recognized for its commitment to operational excellence innovation and professional development. Their Warsaw office plays a strategic role in supp...
We are supporting an international organization in their search for a Treasury Cash Management Analyst to join their team in Warsaw. The organization is recognized for its commitment to operational excellence innovation and professional development. Their Warsaw office plays a strategic role in supporting both regional and global functions fostering a culture of collaboration and continuous improvement.
As a Treasury Cash Management Analyst you will play a key role in daily cash management funding execution and collateral management supporting the implementation of new treasury systems and enhancing operational efficiency.
Key responsibilities include:
- Tracking payables and receivables in nostro accounts and reconciling cash breaks.
- Executing funding secured and unsecured bank loans and arrangement of fail funding.
- Managing collateral including margin requirements and stock borrow/loan activities.
- Maintaining strong relationships with banks and facilitating business development with relationship banks.
- Liaising with operations to ensure smooth settlement of funding transactions.
- Administering SBL functions including static data cash pool rates and billing reconciliation.
- Supporting the implementation of new Treasury Management Systems and process improvements.
- Being alert to conduct risk issues and supporting a culture of compliance and integrity.
The ideal candidate will bring:
- Experience in treasury management or cash management within the financial services sector.
- Knowledge of funding execution nostro accounts and collateral management.
- Advanced Excel and PowerPoint skills; experience with Oracle and Essbase is an advantage.
- Strong organizational and prioritization skills with the ability to deliver under tight deadlines.
- Excellent communication skills and a team-focused approach.
- Confident self-motivated and adaptable in a dynamic environment.
- Fluency in English both written and spoken.
This is a unique opportunity to contribute to the treasury operations of a respected international organization and to collaborate with a wide range of stakeholders across multiple jurisdictions.
Required Experience:
IC
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