Job Description

Overview

This role supports daily treasury and funding operations in Brazil, focusing on liquidity management, repo execution, risk oversight, and reporting within a global financial institution.

Key Responsibilities

  • Manage daily cash positioning and short-term funding activities.
  • Execute and reconcile repo transactions across internal systems.
  • Monitor collateral, margin requirements, and funding exposures.
  • Perform daily risk controls and system sign-offs.
  • Produce and deliver P&L and liquidity reports to stakeholders.
  • Coordinate with trading, risk, and external counterparties on funding flows.

Requirements

  • Experience in treasury, funding, or securities finance operations.
  • Strong understanding of fixed income and repo markets.
  • Attention to detail with solid risk and control mindset.
  • Strong Excel and operational system skills. IA and code development is ...

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