IPO Lending AVP

Jefferies Financial GroupJersey City, NJ
Onsite

About The Position

The Treasury Operations department at Jefferies is looking for a highly motivated individual for a Treasury Operations/Cash Management position mainly focusing on 15c3-3/PAB requirements. The candidate should have a background in Cash Management and/or Operations, and knowledge of 15c3-3 and PAB.

Requirements

  • Prefer 2-4 years of financial experience
  • Fundamental knowledge of all MS Office Applications, including Excel
  • Must be detail-oriented
  • Strong communication
  • Good analytical and reasoning skills
  • Ability to multi-task
  • Must be good at working under pressure and meeting tight deadlines

Nice To Haves

  • Cash Management/Treasury Operations
  • Regulatory Reporting/Operations Control
  • 15c3-3 /PAB
  • BPS Wire Payment Systems
  • SWIFT

Responsibilities

  • Responsible for the daily deposit and withdrawal of 15c3-3/PAB cash as per the Regulatory team’s daily calculation/instruction
  • Responsible for 15c3-3 and PAB reporting requirements for the Treasury Operations team
  • Responsible for the timely and accurate processing of time sensitive wires
  • Maintain relationships with banks and internal departments across the firm
  • Funding for various Jefferies’ domestic and international bank accounts, including projecting balances
  • Domestic and International wire processing (incoming and outgoing) for multiple entities
  • Manage the day-to-day activities and Cash Management functions to meet the financial obligations of the organization
  • Daily, Weekly, Monthly Reconciliations for multiple Cash Management accounts and Money Market Funds
  • Various Daily, Weekly, Monthly Reports
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