Treasury Capital Markets - Liquidity Management, Associate

Morgan StanleyNew York, NY
67d$95,000 - $115,000

About The Position

We're seeking someone to join our Treasury Capital Markets team as an Associate in Treasury to manage the Firm's liquidity resources. In the Finance division, we act as a partner to business units around the globe by providing management, analysis and advisory services of the Firm's financial and capital resources. This is a Associate position within our Corporate Treasury Market-facing/Managing Risk Job Family which is responsible for the management, execution, setting the liquidity investment policy and risk management of the Firm's unsecured funding issuance, investment of the Firm's liquidity resources and managing risk for the MSBNA/MSPBNAs Chief Investment Office (CIO). Since 1935, Morgan Stanley is known as a global leader in financial services, always evolving and innovating to better serve our clients and our communities in more than 40 countries around the world.

Requirements

  • Working knowledge of Treasury, industry and competitive environment
  • Ability to communicate clearly and concisely, and adapt to various audiences
  • Willingness to seek guidance and provide feedback to further develop self and peers
  • Excellent quantitative and qualitative analysis skills; ability to understand complex transactions
  • Excellent communication and interpersonal skills for interaction with teams across local and global offices
  • Ability and willingness to work with global teams and colleagues across regions contributing to common goals
  • Ability to work in a fast-paced, demanding, and high energy environment
  • Motivation to be accountable and deliver positive results
  • Currently have or will obtain within the 6 months FINRA Licensing Exams - the Securities Industry Essentials (SIE), Series 7, and Series 63 Exams
  • At least 2 years' relevant experience would generally be expected to find the skills required for this role

Responsibilities

  • Collaborate with a varied group of colleagues in Finance and across the Firm
  • Responsible for both individual and team deliverables and projects, leveraging knowledge of Treasury tools and/or products
  • Adhere to the Firm's risk and regulatory standards, policies and controls
  • Act as a culture carrier; embody the Firm's values and hold yourself accountable to Firm standards
  • Manage liquidity investments, and funding in North America
  • Analyze and report on liquidity, funding and collateral flows throughout the day
  • Position liquidity resources to meet internal and external requirements
  • Execute reverse repurchase agreements, FX spot and forwards
  • Engage directly with senior business unit stakeholders on funding and liquidity impacts, as well as forward looking funding requirements
  • Develop analysis and reporting on underlying drivers of funding requirements and specific funding structures
  • Present new proposals on liquidity or funding strategy to management
  • Build effective working relationships with senior stakeholders within Corporate Treasury as well as Firm Risk Management, ISG Business Units, Bank Resource Management, Finance, Operations and Technology

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What This Job Offers

Job Type

Full-time

Career Level

Mid Level

Industry

Securities, Commodity Contracts, and Other Financial Investments and Related Activities

Education Level

No Education Listed

Number of Employees

5,001-10,000 employees

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