Offer summary
Qualifications:
6+ years in corporate treasury or capital markets with a Master's in Finance or CFA, 8+ years with a bachelor's degree in business or related field, Experience trading fixed-income securities, Strong understanding of risk management and capital markets, Proficient in financial modeling and communication.
Key responsabilities:
- Implement and manage a portfolio of Treasuries
- Ensure compliance with Veeva’s investment policy and portfolio risk
- Monitor and benchmark external investment manager performance
- Create interest income forecasts and implement risk dashboards
- Provide backup for treasury functions and complete ad hoc projects