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Job Description
As point person for all Treasury functions and service levels across both the Dealer and the Bank, you will manage a team that supports FX, associated collateral, payments and time deposits. Manage training and coverage, plus day to day operations inlcuding controls, risk mitigation and process improvements. Managing this team and reporting to the Department manager with expectations to grow across the platform as Organization changes are made.
Responsibilities
Providing transaction support for Treasury to reduce risk and timing delays on Cash payments & FX
Providing settlement support of BA's, Time Deposits and Collateral trades
Timely Bank breaks & investigations
Performing functions such as: Bank reconciliations, Setup and authorisation of banks for various business lines, Trade check out, adjustments and settlement resolution
Analyzing trade processing opportunities for improved STP
Proactively managing breaks, trading and departmental inquiries, as well as improving overall relationships
Perform processing of Events, reconciliations, notifications and cash flows
Qualifications
Minimum 5 years of relevant experience, 10 + years preferred
Bachelor degree or substantially equivalent experience
Brokerage and industry experience across multiple functions with progression.
Supervisory experience required
Canadian Securities Course or other applicable courses
Proven organizational and time management skills
Ability to work in a fast paced, deadline-oriented environment
Strong interpersonal skills to manage your relationships within custodian, and internal & external clients
Excellent communication skills, verbal and written
Demonstrated success individually and through a team.
Ability to work collaboratively on projects and well as independently
Ability to work flexible hours
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