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Director of Treasury Controllership

πŸ“ New York, NY πŸ’° 170,000 – 200,000 USD / yr πŸ•’
Work Model
πŸ“ New York, NY
Employment
πŸ’Ό Full-Time Direct
Recruitment Type
πŸ›‘οΈ Direct to HR Pipeline
πŸ›‘οΈ
Human-Verified Opening: Inspected by Sarah Jenkins, CIPD • RemoteVault Editorial Team. Authenticated directly from Insight Global's hiring pipeline • Zero recruiter markups or candidate fees. Verification Standards →

πŸ“‹ Role Overview & Responsibilities

Title: Director of Treasury Controllership Salary: $170-190,000 with annual bonus Location: New York City Schedule: M-F, 9am-5pm, 3 days onsite Tuesday-Thursday.

Job Description:A large financial institution in NYC is looking for an Accounting Director to join their team! The director is responsible for understanding the core products of Global Treasury Group, relevant accounting, financial and regulatory reporting requirements, how the systems work and inter-relate, the multiple operational flows supporting the different technologies and the reporting requirements of treasury products. This person must have a strategic mindset and will be a part of leading changes in the coming years, along with a technical background.

Expectations for this role: Experienced in treasury products, examples include debt, investment and derivatives and related US GAAP requirements.Experienced in processing, accounting, and reporting for treasury products.Experienced in designing and implementing process and controls that are aligned with regulator’s expectation. Demonstrate an understanding of Bank Holding Company structures and the regulatory landscape surrounding them. Experienced in optimizing regulatory reporting processes within the context of Bank Holding Companies.Experienced in information systems and/or highly complex routing flows and their impact to downstream systems.Lead documentation of detailed business requirements and scenario-based use-cases for new guidance implementations or guidance updates.Utilize strong data management skills to ensure the accuracy, completeness, and integrity of regulatory reports.a trusted partner, providing support and consultancy in all Treasury related deals and activities.as subject-matter expert in responding to inquiries, audits and/or exams from regulators in a timely manner.as the point of contact with external regulators, auditors, review and respond to inquiries from external regulators and internal stakeholders.a strong team with the expertise to support Treasury Transactions and guide managers and analysts to reach their goals and career aspirations.leadership, mentoring and career pathing to Financial Analysts and Managerscolleague engagement across levels and support associated initiatives.

Minimum Requirements:- 9+ years experience in Technical Accounting- 2-3 years management experience - Bachelors in Accounting or Finance - Previous experience with Hedging Derivatives - Public Accounting experience - Must understand treasury products .

Plusses: CPAPublic Accounting ExperienceRegulatory Reporting or SEC reporting

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This position is located in New York, NY with potential relocation and sponsorship assistance depending on candidate qualifications.

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