Cash Management Team Lead

Employer
T. Rowe Price International
Location
London, United Kingdom
Salary
Competitive
Posted
Feb 26, 2022
Closes
Mar 10, 2022
Ref
13488860
Job Function
Accounting/Audit/Tax
Industry Sector
Finance - General
Employment Type
Full Time
Education
Bachelors
A career at T. Rowe Price says you want to contribute and make a difference at a leading global investment management firm where success results from the dedication our associates have in building success for our clients. We are a growing organization of associates from diverse backgrounds, experiences, and perspectives.

We take a long-term view on associates and their careers. Our associates do phenomenal work with purpose, and as a result, we provide growth opportunities through in-person and online training, management development programs, and career development on the job.

If you are seeking a meaningful work experience along with a workplace culture that thrives on teamwork, we invite you to explore the opportunity to join us.

Principal Responsibilities
  • Serve as the consistent supervisor for the associates on daily operations. Develops and coaches associates to meet department standards, as well as associate expectations. Identify individual associate trends and coaches to improvement, particularly in the areas of risk management and cash flow activity. Provide timely and consistent feedback through coaching and mentoring. Document coaching sessions and interactions with associates, which can be used for annual performance evaluations. Assist with the recruitment and interviewing of new hires into the department. Provide coaching and support to less experienced staff on complex cash related issues
  • Partner with Head of Cash Investment to identify broader trends across the department and implement change to improve.
  • Act as first point of contact for escalation of complex issues or problems with sizable impact. Provide guidance to team members on appropriate methods for issue resolution. Collaborate with management on best practices for resolving, while also engaging internal groups such as Global Client Operations, Investment Operations, Compliance, and Legal as needed on potential impact
  • Drive cash practices and policies, with a firm-wide, global reach. Partner with management to implement policy and strategic initiatives. Define, identify, recommend and implement processes and controls to improve efficiency and minimize risk within the team. Partner with internal groups to improve cross-organizational functions
  • Drive developers and business analysts to design, develop, and test systems and tools related to cash management. Lead the prioritization of work across cash related processes and technology
  • Evaluate hedging strategies and assesses performance impact. Provide oversight of hedging functions to ensure best practices across the team and firm, coordinating with external groups as needed

Qualifications
  • Bachelor's degree and 8+ years of related experience
  • 4+ Years demonstrating proficiency in Senior Cash Analyst Role
  • Demonstrated deep knowledge in all aspects of cash management,
  • Ability to influence all levels within the organization and drive consensus
  • Demonstrated ability to manage projects
  • Deep knowledge of investments, portfolios, and stock trading principles
  • Ability to understand the impact on cash management of complex instruments such as futures, options, and total return swaps, as well as the additional complexities of global mandates, including international securities and regional timing & settlement differences
  • Excellent communication and interpersonal skills
  • Ability to ask for and assimilate communication from multiple parties to make pertinent trading decisions is paramount.
  • Experience with applying thoughtful, sound judgment along with high ethical standards
  • Attention to detail and accuracy
  • Ability to work both independently and as part of a larger team
  • Open-minded, logical, determined, and highly ethical along with creativity, intellectual curiosity, and strong analytical skills.

Preferred Qualifications
  • Advanced degree or CFA, CAIA, CPA, or FRM

After a period of onboarding, this role will assume the position of Certified Person under SMCR.

This role is eligible for remote working up to two days per week.

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