Cash Flow Analyst

  • Location: Dedham, Massachusetts
  • Type: Contract
  • Job #28770

Cash Flow Analyst

We are currently seeking candidates for a Cash Flow Analyst role with a highly-successful investment management firm located in Dedham, MA. The Cash Flow Analyst will serve as a central figure in the firm’s operations team, overseeing the daily lifecycle of cash movements and maintaining liquidity precision across global portfolios. The ideal candidate will have 2+ years of relevant operations experience within the asset management or custody space. Previous exposure to coordinating with offshore partners is highly preferred.

This is a 12-month contract position paying between $30-$40/hour (depending on experience). This role supports a hybrid work model, consisting of 4 days on-site and 1 day remote/week.

Responsibilities:

  • Serve as the primary liaison between internal stakeholders and external offshore partners to facilitate seamless daily operations.
  • Manage the end-to-end execution of client-directed cash activities across a diverse range of custodians and accounts.
  • Drive operational efficiency by identifying opportunities to streamline workflows and implementing process improvements.
  • Investigate and troubleshoot cash breaks, settlement discrepancies, and exceptions to ensure timely resolution.
  • Maintain rigorous internal controls and update procedure documentation to remain compliant with evolving firm policies and industry standards.
  • Monitor daily liquidity positions to ensure accurate contributions and withdrawals.
  • Provide ad-hoc support for broader investment management infrastructure projects as needed.

Qualifications:

  • Bachelor’s degree in Finance, Accounting, Economics, or related field.
  • 2+ years of professional experience in Operations or Fund Accounting within the financial services sector.
  • Must have prior experience working specifically at an Asset Manager or Custodian Bank.
  • Previous exposure to global operations and working with offshore/outsourced teams is a distinct advantage.
  • Solid understanding of cash flow mechanics, wire processing, and account reconciliation.
  • Ability to handle high-volume email communication (Outlook) with speed and clarity.
  • Strong critical thinking skills with a mindset geared toward process optimization.
  • Demonstrated ability to work autonomously while maintaining strong collaborative relationships with cross-functional teams.
  • High attention to detail and accuracy in data entry and analysis.

For immediate consideration, interested and qualified candidates should send their resume to Jackson at [email protected].

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