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Circle is looking for an experienced leader who will be responsible for working with the Treasurer in developing and scaling a global best-in-class Treasury Execution, Client Services and supporting Operations functions, covering balance sheet management of new product offerings, OTC, digital asset, and fiat operations.
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Reporting to the Chief Financial Officer, the Chief Accounting Officer (CAO) will be responsible for the leadership, development, and execution of the Company’s accounting function globally, including controllership, financial operations and related systems, treasury operations, accounting policy and SOX compliance, global income and indirect taxes, management and external financial reporting.
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Collaborate with other Kyriba teams including pre-sales, product, operations, and legal. Strong background in Treasury or experience selling to the CFO buying center required. Knowledgeable about the industry, understands basic treasury concepts, and proactively updates on industry trends for personal and organizational knowledge.
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The individual will interact directly with the firm’s IR, Trading, Treasury, and Trading Operations personnel, as well as external stakeholders such as brokers, vendors, and outside counsel.
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The department is comprised of three main pillars: Financial Planning & Analysis (FP&A), Accounting, & Treasury. We collect personal information (PI) from you in connection with your application for employment with Hermes, including the following categories of PI: identifiers, personal records, commercial information, professional or employment information, non-public education records, and inferences drawn from your PI. We collect your PI for our purposes, including performing services and operations related to your potential employment.
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Arrange and attend quarterly meetings with UNDP Treasury Unit and ASHI Investment Committee to report on investment decisions, ensure meetings are minuted and reported in the regular reporting of DMA to Executive Director and Senior Management Team.
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This pivotal role involves managing and safeguarding the company's financial assets, optimizing treasury operations, and ensuring compliance with regulatory standards in the dynamic landscape of digital finance.
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Liaise with SEC reporting, Corporate Accounting, Regulatory Reporting, Product Control, Tax, Technical Accounting, Treasury, and Cash Management in order to ensure proper accounting; Legal Entity Controller is an integral member of the finance team, reporting directly to the Financial Controller, and participating in the accounting and finance processes and controls over internal and external financial reporting, regulatory reporting, operations, and product control.
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Experience: 8-10+ years of relevant experience in corporate treasury, risk management, financial regulation, project management, or similar fields. Reporting to the Head of Resolution & Recovery Planning (RRP), the Head of RRP Governance and Reporting is responsible for managing the core operations related to Citi's RRP program including governance, stakeholder management, issue remediation, and reporting.
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We help our clients achieve their business and financial goals through our deep expertise in Commercial & Institutional Lending, Commercial Real Estate, Capital Markets, Capital Finance and Treasury Management.
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Financial Markets & Treasury Operations is managed through its Central Hub in Sydney utilising a 24 hour follow the sun model. Financial Markets & Treasury Operations forms part of WIB Operations under Group Operations.
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Partner closely with GCTC executive management, Treasury, Operations, Risk, Controllers, and other partners to manage financial performance, develop business projections, and calibrate deposit appetite and pricing.
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Position Overview: Strategic oversight and leadership of client finance operations services department including Payroll, Accounts Payable, Accounts Receivable and Treasury. Maintaining appropriate supervisory reviews and reconciliations as part of day-to-day transactions such as systems postings of invoices and payments; on-going billing; payroll processing and treasury operations.
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Work closely with Sales Directors, Client Services, and Marketing teams in the UK, ensuring alignment and efficiency between US and European operations. Prior customer and partner relationships relevant to treasury management.
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This requires collaboration with the Operations Committee of the Board and the Board Treasurer, and includes regular income reports and forecasts, expense budget reports and forecasting, management of external audits and management of filings with the U.S. Department of Treasury – Internal Revenue Service.
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treasury operations jobs in Pine City, NY
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