Analyst, Deal & Cash Ops
About this role
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Skills you'll use
What you'll do
- Foreign Exchange & Exposure Management
- Stage FX orders to raise cash and hedge currency risk, including FX spot, forwards, and options.
- Monitor open FX positions, mark-to-market (MTM) valuations, and P&L impact.
- Track exposure versus hedge coverage and identify over-hedged or under-hedged positions.
- Prepare daily, weekly, and monthly FX exposure and hedge reports.
- Identify, measure, and mitigate process risk, particularly related to FX risk.
- Cash Management & Deal Funding
- Forecast available cash balances.
- Ensure cash availability for upcoming purchases, redemptions, deal funding, and other transactions.
- Monitor for and prevent account overdrafts across multiple currencies.
Who can apply
- 2+ years of relevant operations experience at an asset management firm, investment bank, or other financial services company.
- Strong understanding of cash management, cash projection, and multi-currency cash positioning.
- Strong understanding of FX markets, FX spot, FX forward, FX options, and FX hedging strategies, with the ability to manage multi-currency exposures.
- Expert in Excel formulas and logic
- Understanding of complex fund and deal structures a plus
- Understanding of Custodian Bank a plus
- Knowledge of SQL and VBA is a plus
- Knowledge of SharePoint, PowerBI, Power Apps, or Power Automate a plus
- Knowledge of Advent Geneva & Everest a plus
- Personal attributes
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