This role is responsible for the management and trading of cash and liquidity strategies, including traditional cash, securities-lending cash collateral reinvestment, enhanced cash and ultra-short, fixed income portfolios
Job Summary
This role is responsible for the management and trading of cash and liquidity strategies, including traditional cash, securities-lending cash collateral reinvestment, enhanced cash and ultra-short, fixed income portfolios.
The successful candidate will demonstrate integrity and sound judgment, bringing deep expertise in short-term fixed income markets, disciplined risk management, and strong client-facing communication skills.
Employees are eligible to participate in State Street’s comprehensive benefits program, which includes our retirement savings plan (401K) with company match; insurance coverage; paid-time off; and access to our Employee Assistance Program.
Matching Summary
This role is responsible for the management and trading of cash and liquidity strategies, including traditional cash, securities-lending cash collateral reinvestment, enhanced cash and ultra-short, fixed income portfolios.
Salary
$120,000 - $202,500 Annual; Bonus/Equity: incentive compensation including eligibility for annual performance-based awards; Benefits: comprehensive benefits program
Skills & Requirements
Must-have
short-term fixed income portfolio management
cash and liquidity strategies
USD taxable short-term fixed income strategies
trade short-term taxable fixed income securities
interpret market developments
drive portfolio performance
disciplined risk management
Nice-to-have
strong analytical capabilities
collaborates effectively across teams
integrity and sound judgment
client-facing communication skills
leadership behaviors
Key Requirements
minimum of 10 years of relevant experience
Bachelor’s degree in Banking, Business, Economics or Finance
CFA designation a plus
Advanced degree/CFA a plus
Proficient in Microsoft Office applications, Bloomberg