Corporate Treasurer jobs in New Jersey

Fixed Income Product Controller
  • Jefferies
  • Jersey City, NJ
  • Front Office, Regulatory, Treasury, Operations, Corporate Control, Information Technology, Offshore * Create journal entries to record in the subledger to adjust PL and inventory. * Month-end close ...
  • 9 hours ago

Jr Financial Analyst
  • Valley National Bank
  • Wayne, NJ
  • The Jr. Financial Analyst/Structured Products will provide comprehensive business analysis, report development and data management for the Corporate Treasury department. Manage VNB's derivative ...
  • 20 hours ago

Payroll Manager
  • Cardone Industries
  • Mantua, NJ
  • Comply with all corporate and departmental privacy and data security policies and practices * Act ... Lead year-end audits, reports and projects and collaborates with Finance and Treasury as needed
  • yesterday

Corporate Controller
  • Parker + Lynch
  • Somerset, NJ
  • ... a Corporate Controller to join their dynamic, energetic, team. The ideal candidate will have 8 ... Coordination of all treasury operations and the liquidity of the company * Responsible for all cash ...
  • 4 days ago

New Jersey is bordered on the north and northeast by New York (parts of which are across the Hudson River, Upper New York Bay, the Kill Van Kull, Newark Bay, and the Arthur Kill); on the east by the Atlantic Ocean; on the southwest by Delaware across Delaware Bay; and on the west by Pennsylvania across the Delaware River. New Jersey is often broadly divided into three geographic regions: North Jersey, Central Jersey, and South Jersey. Some New Jersey residents do not consider Central Jersey a region in its own right, but others believe it is a separate geographic and cultural area from the Nor...
Source: Wikipedia (as of 04/11/2019). Read more from Wikipedia
Income Estimation for Corporate Treasurer jobs
$120,842 to $145,849

Corporate Treasurer
Demonstrates in-depth understanding of financial markets and comprehensive knowledge of banking.
March 04, 2021
Serves as the Chairman of the Hedging & Derivatives Sub-Committee of ALCO.
February 11, 2021
Evaluates, in conjunction with senior management, the short and long-term funding needs of the Bank.
February 02, 2021
Monitors the financial condition and credit rating for issuers of debt for municipalities and agencies whose bonds are held in the investment portfolio.
January 18, 2021
Supports and provides input as appropriate for development of annual plans/budget.
January 06, 2021
Participates in the capital management process and provides analytical support for the evaluation of dividend policies, stock repurchase programs and capital issuance.
January 06, 2021
Provides leadership in establishing appropriate targets for duration, yield, structure, mix, risk and maturity.
December 30, 2020
Manages treasury strategies that ensure liquid funds are available for current capital needs, and assists in implementation of long-term cash management or investment plans that both preserve capital and support strategic goals.
December 18, 2020
Supervises and coaches assigned staff to develop knowledge, skills, and abilities to maximize performance potential.
December 02, 2020
Develops and maintains policies governing the management of interest rate risk, liquidity risk and the investment portfolio.
November 01, 2020