Insight Global is seeking a Cash Management Operations Analyst to support a leading financial institution within its Global Markets organization. This individual will play a critical role in overseeing daily cash flow and liquidity operations across multiple legal entities and currencies. The role partners closely with Front Office, Middle Office, Corporate Treasury, and Operations teams to ensure regulatory compliance, risk management, and optimal liquidity positioning.
This position operates in a high-volume, time-sensitive environment and requires strong analytical skills, attention to detail, and the ability to make sound decisions under pressure.
REQUIRED SKILLS AND EXPERIENCE- Bachelor’s degree or equivalent relevant work experience
- Experience in cash management, liquidity operations, or capital markets operations
- Strong understanding of cash management processes within a financial institution
- Payments industry knowledge (e.g., SWIFT network, MX messaging)
- Solid understanding of liquidity risk and regulatory requirements
- Experience with capital markets products and services
- Proficiency in Microsoft Excel and other Microsoft Office tools
- Experience with cash and trading systems such as GCTS, Calypso, Wall Street, WRAP, or Intellimatch (strong asset)
- Banking Exp (Capital Markets preferred)
- Daily cash positioning, Nostro account ownership, payment execution, liquidity forecasting, and operational cash controls (Its a must to have)
NICE TO HAVE SKILLS AND EXPERIENCE- Power BI
- Ability to work in a fast-paced, high-volume, time-sensitive environment
- Strong analytical, problem-solving, and decision-making skills
- Excellent written and verbal communication skills
- Strong prioritization and multitasking abilities
- Proven ability to work independently and make sound judgments within established authority levels
*We may use artificial intelligence tools to assist with the screening, assessment, or selection of potential applicants for this position.