New York, NY
Cowen Inc. is looking for an Associate to join its Treasury team.
Responsibilities will include cash and liquidity management, cashflow forecasting, bank and clearinghouse relationship management, cash accounting, FX hedging and payments management. Responsible for applying policies and procedures in the timely handling, processing and deposit of cash receipts or disbursements. The successful candidate will have the opportunity to manage an analyst in day to day operations.
Who We Are:
Cowen Inc. (Cowen or the Company) is a diversified financial services firm offering investment banking services, equity and credit research, sales and trading, prime brokerage, global clearing, commission management services and actively managed alternative investment products. Cowen focuses on delivering value-added capabilities to our clients in order to help them outperform. Founded in 1918, the Company is headquartered in New York and has offices worldwide.
At Cowen, inclusion and diversity are catalysts for success and innovation in everything we do. We pride ourselves on our empathetic and collaborative culture, where the power of diversity is harnessed to transform the status quo. Our focus on inclusion expands our thinking in order to generate better outcomes for clients, while striving to increase fairness and equity for our colleagues. Cowens vision of creating a more inclusive and equitable future is supported by our core values and is essential to our ability to outperform.
Learn more at cowen.com
Original source: Glassdoor US