Investable Cash (Cash Availability, Forecasting and Sweep) - Associate 2
State Street CorporationMatch Score
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Job Description
Structured overview of role & requirementsAbout This Role
Analyze and forecast cash inflows and outflows for accurate liquidity management.
Manage sweep accounts to optimize cash concentration and investment opportunities.
Process wire transfers, reconcile cash positions, monitor overdrafts, and ensure timely client deliverable completion.
Minimum Requirements
Minimum 2 years of experience in cash operations within investment banking or financial services domain.
Graduation in Commerce or related field.
Familiarity with tools such as MCH and IMT is expected.
Work Experience Required: Minimum 2 years.
Ideal Candidate Profile
Experienced in end-to-end cash operations including processing, settlements, and cash forecasting within investment banking or financial services.
Comfortable working in a global delivery team supporting the US region from India (Pune or Coimbatore).
Able to manage multiple stakeholders and understand upstream and downstream team impacts on cash operations.
