Treasury Supervisor

HedgeServ

$80K — $110K *
Finance & Insurance
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's Degree in Accounting or related field
  • 4+ years of experience in financial services
  • Strong understanding of derivatives, repo, and collateral management
  • Ability to multi-task in a high-pressure environment
  • Proactive with leadership qualities and independent work capability
  • Client-service oriented with strong communication skills
  • Advanced Excel skills including v-lookups and pivot tables

Responsibilities

  • Oversee margin calls and collateral management processes
  • Resolve client disputes and manage escalations
  • Engage with senior Hedge Fund personnel for cash management
  • Implement internal development initiatives
  • Manage wire instructions and cash payments effectively
  • Facilitate securities transactions and their related messages
  • Conduct trade portfolio and collateral reconciliations

Benefits

  • Opportunities for professional development and training
  • Dynamic work environment with high-level client engagement
  • Potential for leadership roles and project ownership
  • Collaborative culture that values team-oriented approaches
  • Access to advanced financial tools and systems
Full Job Description
The Treasury Supervisor focuses on traditional collateral management responsibilities such as margin calls, dispute resolutions, and collateral settlements. The candidate will be expected to oversee the cash management processes, hold conversations with senior Hedge Fund personnel, and actively engage in our internal development initiatives.

Responsibilities

  • Knowledge of derivatives, repo and collateral management


  • Familiarity with legal documentation including CSAs, MRAs, MSFTAs, and clearing agreements


  • Ability to manage resolution and escalation of all client disputes and queries


  • Experience with wire instructions, cash payments and swift message types


  • Experience with securities transactions (free delivery and versus payment) and swift message types.


  • Understanding of changing margin rules and their impact to requirements of buy-side clients


  • Experience with trade portfolio and collateral reconciliations


Pre-Requisite Knowledge, Skills, and Experience

  • Bachelors Degree in Accounting or related field
  • 4+ years of experience working within a financial services company


  • Knowledge of derivatives, repo and collateral management


  • Ability to multi-task and succeed in a results oriented, high pressure environment with an understanding of the need for 100% accuracy


  • Proactive individual that is willing to lead initiatives and work independently where needed


  • Self-motivated and solid team player with a client-service oriented approach


  • Strong written and verbal communication skills


  • Strong excel skills (understanding of how to use and build excel maps, v-lookups, pivot tables)

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