Treasury Operations Analyst. Responsibilities. The successful candidate for this position will be responsible for ensuring the efficient and accurate performance of treasury operations activities. They will support cash management activities. payment flows and bank administration. Daily activities will include reporting responsibilities, liquidity forecasting, coordinating Chubb's cash pooling, as well as working with Chubb's onshore and offshor...
About the Position. We are hiring members for a subgroup within our Treasury team who will manage and improve many of our daily activities and processes. We don't require any finance background or other particular experience-we care more about your curiosity, enthusiasm, and how you think and learn. Our Treasury team, like the rest of Jane Street, are problem solvers. Much of what we do is constrained optimization. Together, we decide how to effi...
Please review the job details below. The Treasury Analyst will be an integral part of the team within Treasury. The role provides exposure to cash flow forecasting, global funding and cash management, operational treasury, debt compliance, etc. Reporting to the Director of Shared Services, the Treasury Analyst will interact with a variety of functions within and outside of Treasury, including Accounting, Tax, Legal, FP&A and Finance Leadership. P...
Please review the job details below. The Treasury Analyst will be an integral part of the team within Treasury. The role provides exposure to cash flow forecasting, global funding and cash management, operational treasury, debt compliance, etc. Reporting to the Director of Shared Services, the Treasury Analyst will interact with a variety of functions within and outside of Treasury, including Accounting, Tax, Legal, FP&A and Finance Leadership. P...