Unknown Company

Treasury Analyst Consultant --US

hartford, ct • Posted 1 weeks ago
Onsite Contract General

Treasury Analyst ConsultantLocation: Hartford, CT-Day one onsiteDuration: 6+ MonthsPosition Description Summary:The Treasury Analyst of Mutual Fund Administration will be responsible for oversight functions related to custody-related items including managing and executing treasury functions for mutual funds. The Treasury Analyst will report to the Director of mutual fund administration, working within the Fund Services Team to help drive a seamless oversight function over Virtus Mutual Funds.Primary Job Responsibilities:Cash Flow Management:Day-to-day oversight of Fund Cash balancesRedemption/Leverage Facility OversightForeign Reclaim:Regularly monitor Foreign Reclaim reports ensuring the bank is efficiently processing reclaimsDocument any reasons for delays in processing including Reclaims filed in lieu of Relief at the sourceComplete all documents within 5 business days of receipt from BNYMBe well versed with documents for each country and be proactive in requesting documents to be completed if not already provided.Work with Internal Tax/Accounting teams to make sure they are up to date on the collectability of reclaims and are maintaining accurate accrual figures are accurateCreate a quarterly summary for senior management reviewClass Actions/Litigation:Regularly work with Class Action providers to verify that they have all applicable trade data, that all claims are being processed timely, and that all claims are accurately and efficiently being distributed to the correct fundsWork with Sub Advisors and Accounting teams to satisfy all claim auditsWork with Accounting and Custody teams to ensure claim proceeds are processed timely and accurately by VirtusReview all claims to ensure any NAV-impacting claims are booked immediatelyHold Bi-Weekly meetings with the class action provider to review and ensure there are no process gaps and review complex claimsCreate a quarterly summary for senior management reviewContinuously review claim payments for liquidated funds and make sure all funds are appropriately distributed or donatedForeign Country Opening:Work with the Sub-Advisors, Bank, and Management to open all foreign marketsBe well versed with current issues impacting various countries and be able to give input when market requests are submitted by Sub-AdvisorsEnsure a seamless market opening process by making sure all forms are filled out accurately and all necessary documentation is provided timelyBe well versed with documents for each country and be proactive in requesting documents to be completed if not already provided.Reviewing documents, getting legal approval and associated signaturesGet documents notarized and Apostilled if required and provide them to the custodianEnsure all costs related are allocated to the right fundsDay-to-day oversight of the Securities Lending program including:Verifying collateral is accurately posted for each loanWorking with Sub-Advisors and Banks to add or remove funds from the program and maintain a running list of funds that are lendingVerifying funds are always within leverage limitsDay to day Running quarterly compliance testsAssist in all the treasury activities for fund mergers, liquidations, and new fundsAssist during transition-related tasks during Fund acquisitionsIdeal Qualifications:Mutual Fund OperationsLegal contracts

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