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Analyst at Morgan Stanley

Department: Trading

Language
Setup
On-site
Location
São Paulo, São Paulo
Level
not_specified
Posted

Description

This Brazil-based role supports daily treasury and funding operations for a global financial institution, including cash positioning, short-term funding, repo execution and reconciliation, collateral and margin monitoring, risk controls, reporting, and coordination with trading, risk, and external counterparties. The position requires experience in treasury, funding, or securities finance operations, knowledge of fixed income and repo markets, strong Excel and operational-system skills, and IA and code development.

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