Bank Treasury / Money Markets & Funding – Associate
Mizuho Financial Group, Inc. is a leading global bank offering comprehensive financial services. The role involves supporting daily funding operations, managing liquidity, and conducting profitability analyses while collaborating with various teams to enhance operational efficiency.
Responsibilities
- Support the execution of daily funding operations, including UST and MBS Agency repo transactions and short-term funding initiatives such as CD/CP issuance
- Assist in managing the bank’s liquidity and collateral positions through money market transactions, FX swaps, and interoffice dealings
- Process and reconcile intercompany funding transactions under the supervision of senior team members
- Develop dashboards and analytical tools to visualize money market and funding activities, enhancing transparency of transaction flows, positions, and cost metrics
- Conduct cost–return and profitability analyses to support optimization of funding allocation, pricing decisions, and performance assessment
- Support the onboarding of new clients while ensuring full adherence to internal risk management and control policies
- Contribute to the evaluation, preparation, and implementation of new funding tools or funding-related initiatives
- Perform market surveillance and provide analytical support for trade ideas across treasury securities, bills, asset swaps, FX swaps, and rates markets
- Communicate with money market participants—including MMFs, external counterparties, and brokers—to ensure proper execution and timely settlement of money market and treasury transactions
- Collaborate with Treasury Back Office, Risk Management, and Audit teams to address operational matters and support ongoing process enhancements
- Respond to inquiries from business users and assist in routine system and application maintenance as required
- Prepare documentation and analysis for regulatory examinations and support the remediation of findings identified by second and third line control functions
- Identify opportunities to streamline workflows, improve operational efficiency, and strengthen risk management practices across daily processes
Skills
- Foundational knowledge or demonstrated interest in money markets, repo products, or short-term funding instruments (direct fixed income market experience not required)
- Proficiency in Bloomberg, Excel, and other trading and analytics platforms
- Bachelor's degree in Finance, Economics, or a related discipline preferred
- Exceptional attention to detail, strong organizational skills, and the ability to manage multiple priorities in a fast-paced environment
- Clear, concise, and professional written and verbal communication skills
- Strong analytical capabilities; familiarity with VBA, Python, or SQL is considered advantageous
- Ability to prepare accurate, high-quality reporting and analysis for internal stakeholders and senior management
Benefits
- Medical
- Dental
- 401K plans
- Discretionary bonus
Company Overview
Company H1B Sponsorship
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