Treasury Analyst
Visa is a world leader in payments and technology, with over 259 billion payments transactions flowing safely between consumers, merchants, financial institutions, and government entities in more than 200 countries and territories each year. Our mission is to connect the world through the most innovative, convenient, reliable, and secure payments network, enabling individuals, businesses, and economies to thrive while driven by a common purpose to uplift everyone, everywhere by being the best way to pay and be paid.
Make an impact with a purpose-driven industry leader. Join us today and experience Life at Visa.
Job Description
The Treasury team at Visa has operations located around the globe that support critical functions for the business including the daily settlement of all Visa transactions globally. The Treasury department is also responsible for the management of corporate cash and investment portfolios, foreign exchange exposure and rate setting, capital and debt strategy, liquidity management, and insurance programs worldwide.
The Treasury Analyst within Visa Global Treasury Settlement will be responsible for supporting a wide range of tasks, primarily focused on Treasury activities for all settlement services in the North America (NA) region. Daily support of client settlement onboarding activities, including implementation of new services in the NA region, serving as the point of contact with internal and external stakeholders. The Analyst reports to the Director, Global Treasury Settlement for NA & LAC Treasury.
Essential functions :
Day to Day Tasks (as required) :
Project Management and Technical Work :
The candidate will be part of a small team with wide-ranging responsibilities that will continue to evolve. As such, the candidate must be flexible and willing to adapt to changes in responsibilities and to assist with tasks. Over time, the team will continue to broaden its responsibilities, and the candidate will be expected to develop and adapt to these as required.
This is a hybrid position. Expectation of days in office will be confirmed by your hiring manager.
Qualifications
Basic Qualifications : 2 or more years of work experience with a Bachelor's Degree or an Advanced Degree (e.g. Masters, MBA, JD, MD, or PhD) Preferred Qualifications : 3 or more years of work experience with a Bachelor's Degree or more than 2 years of work experience with an Advanced Degree (e.g. Masters, MBA, JD, MD) Banking or payment services experience with payments, corporate treasury, or banking wire room operations. Ability to conduct business in English (spoken and written) required. Excellent written and analytical skills with demonstrated proficiency in Microsoft applications (i.e. Excel, PowerPoint, Word, Outlook, Visio). Ability to understand and document processes and system flows. Project management experience. A minimum of 5 years' experience in a Finance or Operations role, preferably in the Banking or Payments industry. Knowledge of SWIFT and in-country payment systems with exposure to foreign exchange products and services is highly desirable. Knowledge and understanding of the various banking formats (EDI / ISO20022 / SWIFT MT Fin / FedWire) is a plus. Good comprehension of key control environment requirements and experience with various audits (e.g. internal, external, SOX, SSAE16). Ability to conduct business in Spanish and / or Portuguese preferred (for back-up support of LAC onboarding)
Treasury Analyst • New York, NY, US