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Jobs / Treasury Analyst in United States of America
11 days ago
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BNY·BFSI·11 days ago
11 days ago

SVP, Cash Collateral Reinvestment

New York, United States of AmericaFull-timeMid · 5+ yearsTreasury Analyst

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Must-have skills for this role

  • financial markets
  • securities finance
  • cash collateral reinvestment
  • python

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Apply faster with autofill FREEThe NextRaise extension autofills your application in one click.careers.example.com/applyAutofillingFull namePriya SharmaEmailpriya.sharma@example.comPhone+49 30 1234567LocationBerlGet the extension

What you'll do

  • Manage cash collateral investment strategies, optimize portfolio performance, and partner with clients to deliver liquidity, yield, risk, and reinvestment objectives.
  • Lead business management activities including financial performance, strategic initiatives, regulatory oversight, audit coordination, and ongoing monitoring of client reinvestment guidelines to ensure portfolio compliance and adherence to client mandates.
  • Partner with trading, risk, operations, technology, and sales teams to enhance controls, improve operational efficiency, and advance automation and process transformation initiatives that support business growth and client service.

What they're looking for

  • Bachelor's degree in Finance, Economics, Business, Computer Science, or a related field.
  • 5+ years of experience in Financial Markets, Securities Finance, Cash Collateral Reinvestment, Repo, Fixed Income, or Liquidity Management.
  • Strong analytical and technology skills, including Python, advanced Excel, and the application of AI-driven solutions to enhance business processes, reporting, and operational efficiency

Summarised by NextRaise from the employer’s description, which follows in full below.

Full description from employer

We’re seeking a future team member for the role of Senior Vice President to join our Cash Collateral Reinvest (CCR) team within Securities Finance. This role is located in New York or Pittsburgh.

In this role, you’ll make an impact in the following ways: 

  • Manage cash collateral investment strategies, optimize portfolio performance, and partner with clients to deliver liquidity, yield, risk, and reinvestment objectives.
  • Lead business management activities including financial performance, strategic initiatives, regulatory oversight, audit coordination, and ongoing monitoring of client reinvestment guidelines to ensure portfolio compliance and adherence to client mandates.
  • Partner with trading, risk, operations, technology, and sales teams to enhance controls, improve operational efficiency, and advance automation and process transformation initiatives that support business growth and client service.

 

To be successful in this role, we’re seeking the following: 

  • Bachelor's degree in Finance,Economics, Business, Computer Science, or arelated field. 
  • 5+ years of experience inFinancial Markets, Securities Finance, Cash CollateralReinvestment, Repo, Fixed Income, or LiquidityManagement. 
  • Strong analytical and technologyskills, including Python, advanced Excel, andthe application of AI-driven solutions toenhance business processes, reporting, and operationalefficiency


 

BFSI

Company

BNYBFSI
New York, United States of America

Company facts come from this company's own listings. We only show what the postings themselves carry.

Sourced from BNY's careers site·first seen 10 Sept 2026·last verified 10 Sept 2026·How we source jobs

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