Valley Bank Job - 49167542 | CareerArc
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Company: Valley Bank
Location: New York, NY
Career Level: Associate
Industries: Banking, Insurance, Financial Services

Description

Responsibilities include but are not limited to:

  • Monitor daily liquidity and report all incoming and outgoing transactions and cash balances to management. This includes coordinating with Loan and Treasury teams and other stakeholders to ensure adequate liquidity for daily operations.
  • Analyze cash flow patterns, identify areas of improvement, and recommend enhancements on cash flow efficiencies.
  • Execute daily supplementary funding to the clearing house and resolve any cash liquidity discrepancies.
  • Monitor cash positions on a regular basis to identify trends, potential risks, and opportunities for cash optimization. This may involve investigating any discrepancies or unusual activities.
  • Generates regular reports and analysis related to cash management activities such as key performance indicators (KPIs), KRIs, and SLAs.
  • Assist with extracting and compiling audit reports for external and internal auditors.
  • Perform User Acceptance Testing of the Functional Requirements for various online products and business processes.
  • Partner with external vendors, including the Federal Reserve Bank, Clearing House Chips, and Service providers to perform quarterly tests, system enhancements, and daily liquidity funding. This includes service updates, volume analyses of total annual trades and transactions, and SWIFT implementations.
  • Resolve all foreign exchange and USD wire transaction Investigations such as trade discrepancies, non-receipt of funds, and trade confirmations.
  • Maintain proper documentation, track, and follow all provided processes and protocols precisely and timely.
  • Escalate issues as needed to maintain deadlines and service levels.
  • Identify and manage cash related risks, such as liquidity risk, currency risk and operational risk. Develop appropriate risk policies and controls.


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