• Snapboard
  • Activity
  • Reports
  • Campaign
Welcome ,

Chat with the recruiter

...Minimize

Hey I'm Online! Leave me a message.
Let me know if you have any questions.

Senior SAP PP

In United States

Save this job

Senior SAP PP   

Click on the below icons to share this job to Linkedin, Twitter!

JOB TITLE:

Senior SAP PP

JOB TYPE:

JOB SKILLS:

JOB LOCATION:

Arizona City, AZ United States

JOB DESCRIPTION:

Treasury Manager Chicago, Illinois   Purpose of the Role: The Treasury Manager will be responsible for the planning and management of various Treasury management and operations functions, including assistance with formulating policies, management of daily operations and team of staff, and guarantees that all key controls are performed in line with the organization's internal procedures and external regulatory body requirements. Job Responsibilities:  Manage daily functions of the Treasury department including liquidity management, collateral optimization, cash positioning, cash reporting and forecasting, client-facing treasury operations, wire payments, fraud prevention, and FX management. Oversee and support the Treasury team, ensuring that all key controls are performed in accordance with company procedures. Develop and manage team by providing ongoing training, goal setting and performance management. Train and onboard any new team members Ensure compliance with regulatory body requirements. Create and manage treasury processes for margin financing, broker-dealer function and swaps. Own/maintain and develop new processes/applications and ideas to enhance Treasury processes. Participate in growth and development of the Treasury department, which includes performance management, people development and coaching/mentoring of individual team members, as well as involvement in recruiting efforts for open positions on the team. Requirements:  5-10 years of experience in a Finance/Treasury function, management experience preferred. Bachelor's degree or equivalent experience in accounting or finance. Strong understanding of financial markets and financial instruments. Knowledge of margin financing, FCM operations, broker-dealer function, and swaps. Team-player with the ability to communicate and coordinate across multiple parties. High proficiency in advanced computer software skills, including Microsoft Excel. Strong client-relationship management skills and customer-service orientation. Strong problem-solving skills and capability to take on challenges. Works with high-level of accuracy and attention to detail. Ability to work against deadlines and in pressurized situations, prioritizing, and delegating workload. Eye for process development and improvement and proven ability to implement Ability to adapt to a rapidly changing environment.     OOJ – 1193    

Position Details

POSTED:

Nov 26, 2022

EMPLOYMENT:

INDUSTRY:

SNAPRECRUIT ID:

S16493472123381266

LOCATION:

United States

CITY:

Arizona City, AZ

Job Origin:

OORWIN_ORGANIC_FEED

A job sourcing event
In Dallas Fort Worth
Aug 19, 2017 9am-6pm
All job seekers welcome!

Senior SAP PP    Apply

Click on the below icons to share this job to Linkedin, Twitter!

Treasury Manager Chicago, Illinois   Purpose of the Role: The Treasury Manager will be responsible for the planning and management of various Treasury management and operations functions, including assistance with formulating policies, management of daily operations and team of staff, and guarantees that all key controls are performed in line with the organization's internal procedures and external regulatory body requirements. Job Responsibilities:  Manage daily functions of the Treasury department including liquidity management, collateral optimization, cash positioning, cash reporting and forecasting, client-facing treasury operations, wire payments, fraud prevention, and FX management. Oversee and support the Treasury team, ensuring that all key controls are performed in accordance with company procedures. Develop and manage team by providing ongoing training, goal setting and performance management. Train and onboard any new team members Ensure compliance with regulatory body requirements. Create and manage treasury processes for margin financing, broker-dealer function and swaps. Own/maintain and develop new processes/applications and ideas to enhance Treasury processes. Participate in growth and development of the Treasury department, which includes performance management, people development and coaching/mentoring of individual team members, as well as involvement in recruiting efforts for open positions on the team. Requirements:  5-10 years of experience in a Finance/Treasury function, management experience preferred. Bachelor's degree or equivalent experience in accounting or finance. Strong understanding of financial markets and financial instruments. Knowledge of margin financing, FCM operations, broker-dealer function, and swaps. Team-player with the ability to communicate and coordinate across multiple parties. High proficiency in advanced computer software skills, including Microsoft Excel. Strong client-relationship management skills and customer-service orientation. Strong problem-solving skills and capability to take on challenges. Works with high-level of accuracy and attention to detail. Ability to work against deadlines and in pressurized situations, prioritizing, and delegating workload. Eye for process development and improvement and proven ability to implement Ability to adapt to a rapidly changing environment.     OOJ – 1193    


Please wait..!!