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Job Description:
Job Description:
This job is responsible for leading business analysis for a Line of Business (LOB) by producing all financial reporting and disclosures in partnership with senior management, front office, and other business stakeholders. Key responsibilities include applying a knowledge and understanding of product(s), processes, and inherent risks of a product, business or function to analyze and substantiate Profit and Loss (P&L) attributes and balance sheets, establish infrastructure for new products, and approve ledger journal entries.
The Chief Financial Officer (CFO) Group
Responsibilities:
Required Qualifications:
Desired Qualifications:
Skills:
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Job Responsibilities:
The Senior Treasury Sales Officer (TSO) is responsible for managing all aspects of the treasury management relationship for a complex portfolio of current and prospective global clients in the Insurance, PayTech and other Non-Bank Financial Institution segments. He or she will partner with Corporate Bankers, Product, Compliance, Credit, Risk and Service partners to present optimal global solutions to meet client objectives.
Responsibilities include:
Job Qualifications:
Skills:
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Job Responsibilities:
This job is responsible for the delivery of integrated treasury solutions to clients and prospects that may be in the United States (US) or global. Key responsibilities include actively managing and pursuing treasury revenue streams along with increasing product penetration across an assigned portfolio and partnering closely with client-facing teammates to consult on sales opportunities. Job expectations include providing product knowledge to deliver the best possible solution to meet the client and prospect’s needs.
Responsible for the delivery of integrated treasury solutions to sophisticated set of clients in the banking sector located in the U.S. market
Develop and maintain strong relationships with key stake holders within the client’s organization and drive loyalty
Prospect and identify new client opportunities with banks in the U.S
Actively engage with clients to understand their business objectives and provide strategic advice to enhance their treasury operations
Engage at every level of the target client organization to drive stake holder buy in to the Bank of America partnership and successfully cross sell our solutions
Partner closely with internal stake holders including CBK/IBK bankers, product, client service, global markets, and wholesale credit consult on sales opportunities and provide the product expertise and consultation necessary to deliver the best possible solution to the client
The Global Treasury Sales Officer (TSO) is responsible for managing and responsibly growing frontline Treasury revenue streams across core cash management, transactional FX, bank notes, trade/trade finance, card, liquidity, and other GPS solutions for the assigned client base.
The Global Treasury Sales Officer must navigate across regional geographies to drive global solutions for clients and grow the portfolio’s global revenue and profits
Closely coordination with global TSO in regions outside North America to drive sales to branches and subsidiaries of foreign banks in the U.S.
Job Qualifications:
10 years sales experience selling treasury solutions
5 years selling treasury solutions in the bank space
Candidate must have a strong strategic sales ability, understanding industry challenges and requirements
Strong relationship building skills
Proven track record of sales success in the industry
Able to manage long sales cycles
Strong knowledge of USD Clearing product
Bachelors' degree in Finance, Business Administration, economics or related fields or equivalent work experience
Working knowledge of US banking regulations in the compliance space including but not limited to AML, OFAC, and KYC
Excellent communications and presentation skills
Strong analytical and problem solving skills
Ability to both work independently and within teams
Additional Qualifications:
Familiar with Salesforce & Tableau
Knowledge of traditional trade products (letters of credit/standby letters of credit)
Proficient in Microsoft office suite
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Job Description:
The Senior Treasury Sales Officer (TSO) is responsible for managing all aspects of the treasury management relationship for a large ($100M+), complex portfolio of current and prospective global clients in the North America Investments and Securities team. He or she will partner with Corporate Bankers, Product, Compliance, Credit, Risk and Service partners to present optimal global solutions to meet client objectives.
Responsibilities:
Focus on growth of new client relationships and expansion of existing relationships by identifying and cross selling our global payment solutions
Accountable and responsible for revenue and balance growth, profitability optimization, client planning, client calling, portfolio development, pricing strategy, and proposal development and delivery for a dedicated client portfolio
Maintain a strong client focus, industry expertise, client subsector expertise and a broad understanding of bank structures
Lead, coach, develop Treasury Sales Analysts and Associates in day to day support of client deliverables
Be a digital ambassador driving mobile, digital and real time payments adoption
Manage and lead strategic dialogues around key client centric issues, leveraging best practices, peer benchmarking and industry data analytics
Maintain regular client interactions with on-site or virtual meetings, industry conferences, roundtables and client events
Job Qualifications:
Minimum 8 to 10 years of relevant experience in banking, treasury, and/or finance
Successful history of direct and comprehensive treasury management sales experience
Demonstrates the ability to identify, evaluate and articulate payment flows and potential associated risks for a complex/high risk client segment
Demonstrates the ability to foster strong partnerships within the core team and the ability to build a sincere rapport with client contacts
Effectively manages competing priorities in an organized fashion while maintaining a consistent level of client satisfaction
Effectively manages risk while balancing the needs of the client, the team, and the bank
Able to effectively work as an individual contributor as well as a close team member in a fast paced environment
Broad and deep familiarity with global treasury management products, services and trends
Strong Executive presence both internally/externally with ability to lead C- suite meetings
Ability to travel approximately 50% of the time
B.S/B.A Degree or equivalent work experience
Skills:
Account Management
Business Development
Client Management
Client Solutions Advisory
Customer and Client Focus
Critical Thinking
Portfolio Analysis
Presentation Skills
Relationship Building
Sales Strategy
Coaching
Collaboration
Oral Communications
Prioritization
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Job Description:
Job Description:
• Research, develop and implement investment solutions.
• Support new financial investment portfolio management functions through algorithm development and testing.
• Ongoing review and monitoring of enhanced overlay products and services.
• Collaboration across Product, Platform, Channel, CIO, Research and Control partners to deliver investment solutions.
• Oversight and maintenance of internal firm model portfolios and coordination of rebalance activities.
• Support of restrictions and replacement securities.
Required Qualifications:
• Must be intellectually curious and have strong critical thinking skills to solve complex problems.
• Should be able to multi-task, take ownership and deliver in a fast-paced environment.
• Requires good interpersonal skills and ability to collaborate and communicate effectively in groups.
• Requires good time management skills to deliver within project management deadlines.
Desired Qualifications:
• Bachelor’s Degree in Finance, Mathematics or Economics.
• Minimum 2-5 years of experience in a financial firm with some experience in investment products or investment management.
•Series 65 or pursuit of the CFA charter is a plus.
•Advanced Excel VBA skills and Python experience is favorable.
•Knowledge of tax efficient products or services is a plus.
Skills:
High School Diploma / GED / Secondary School or equivalent
1st shift (United States of America)These jobs might be a good fit

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Responsibilities
Actively participate on specific client and deal teams.
Focus on financial and statistical analysis, development of client presentation, and structuring and execution activities.
Assume business development and product advisory and specialist responsibilities.
Responsible for primary coverage for a broad base of clients trading domestic and international markets, including Quantitative Funds, ETF fund managers, Asset Managers and Event Driven funds.
Work with Portfolio Managers and Traders to actively manage their daily trading needs, which includes providing market color, generating pre-trade and post-trade analysis, and coordinating trading instructions with local desks.
Coordinate trading in global Emerging, Developed and Frontier markets with our internal trading desks, as well as local brokers and partners in the region.
Provide transaction cost analysis reports and review with client in order to provide best possible execution performance.
Discuss trading strategy with sales team and clients based in the Americas, Europe, and Asia in order to provide best execution outcome.
Understand how global equity markets operate, including liquidity, market structure, and stock exchanges to make informed decisions and execute trades in an efficient way.
Leverage algorithmic trading strategies including VWAP, TWAP and smart order routing when accessing different trading venues including NASDAQ and NYSE.
Use trading systems including Bloomberg, EMSX and Fidessa for analytics, trading and order management.
Perform quantitative and statistical analysis using Python, VBA and R to automate manual processes to optimize trade execution and monitor performance.
Analyze the factors of slippage, market impact, and timing risk, and effectively implementing strategies to minimize negative effects on trade execution and overall performance.
Analyze global equity index benchmarks, how these indices can change over time and how these changes can affect global equity flows.
Required Skills & Experience
Bachelor's degree or equivalent in Economics, Mathematics, Finance, Business Administration, or related: and
4 years of experience in the job offered or a related Finance occupation.
Must include 4 years of experience in each of the following:
Understanding how global equity markets operate, including liquidity, market structure, and stock exchanges to make informed decisions and execute trades in an efficient way;
Leveraging algorithmic trading strategies including VWAP, TWAP and smart order routing when accessing different trading venues including NASDAQ and NYSE;
Using trading systems including Bloomberg, EMSX and Fidessa for analytics, trading and order management;
Performing quantitative and statistical analysis using Python, VBA and R to automate manual processes to optimize trade execution and monitor performance;
Analyzing the factors of slippage, market impact, and timing risk, and effectively implementing strategies to minimize negative effects on trade execution and overall performance; and,
Analyzing global equity index benchmarks, how these indices can change over time and how these changes can affect global equity flows.
10% domestic or international travel required, as necessary.
If interested apply online ator email your resume toand reference the job title of the role and requisition number.
EMPLOYER:BofA Securities, Inc.
1st shift (United States of America)These jobs might be a good fit

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Job Description
Candidate Requirements
Bachelor’s degree in related field or equivalent work experience
1st shift (United States of America)These jobs might be a good fit

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Job Description:
Job Description:
This job is responsible for leading business analysis for a Line of Business (LOB) by producing all financial reporting and disclosures in partnership with senior management, front office, and other business stakeholders. Key responsibilities include applying a knowledge and understanding of product(s), processes, and inherent risks of a product, business or function to analyze and substantiate Profit and Loss (P&L) attributes and balance sheets, establish infrastructure for new products, and approve ledger journal entries.
The Chief Financial Officer (CFO) Group
Responsibilities:
Required Qualifications:
Desired Qualifications:
Skills:
These jobs might be a good fit