Treasury Analyst III – FX, Liquidity & Fundings (12 months contract) – Global Business Services
This 12‑month contract role contributes to the organization’s success by managing FX risk, cashflows, liquidity, and fundings. The role reports to the Treasury Front Office and FX & Markets leader, with a dotted line to the Regional Treasury Manager.
Responsibilities
- Perform daily cash positioning activities by the required cut‑off time.
- Escalate exceptions to the system team and resolve issues promptly.
- Initiate Money Market processes as required and follow through to event closure.
- Plan, coordinate, forecast, and report cashflow results through close liaison with stakeholders.
- Monitor and manage Assets Under Management (“AUM”) balancing risk exposure, carrying cost, and returns.
- Ensure compliance with Treasury policies, procedures, and processes.
- Attend and confidently drive treasury‑related discussio...