Home › Companies › 324a4031 59fe 4b64 B9a3 Ec4705312baf 19000101 000001 › Senior Analyst - Treasury Operations and Cash
Senior Analyst - Treasury Operations and Cash
324a4031 59fe 4b64 B9a3 Ec4705312baf 19000101 000001 · Washington, DC, US, Washington, DC · Remote · Active · $95,000–$115,000 / year · ADP Workforce Now Recruiting
Job facts
| Field | Value |
|---|---|
| Company | 324a4031 59fe 4b64 B9a3 Ec4705312baf 19000101 000001 |
| Title | Senior Analyst - Treasury Operations and Cash |
| Normalized title | - |
| Department / team | - |
| Location | Washington, DC, United States |
| Work model | Remote / Remote |
| Employment type | Full Time |
| Salary | $95,000–$115,000 / year |
| Status | active |
| ATS provider | ADP Workforce Now Recruiting |
| Posted / first seen | 2026-05-18 / 2026-05-31 |
| Changed / last seen | 2026-06-06 / 2026-06-06 |
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| ATS provider jobs | Active postings observed through ADP Workforce Now Recruiting. | Open |
| Provider filtered search | The same provider as a filtered job collection. | Open |
| City jobs | Active postings in Washington. | Open |
| Work model jobs | Active Remote postings. | Open |
| Lifecycle events | Open, update, close, and reopen events for this posting. | Open |
| Original posting | Canonical source or apply URL captured from the ATS. | Open |
Linked records
| Company | 324a4031 59fe 4b64 B9a3 Ec4705312baf 19000101 000001 |
| Source | 4f10803f-c2fd-4772-99d5-8a498dd94497 |
| ATS provider | ADP Workforce Now Recruiting |
Description
The Senior Analyst - Treasury Operations and Cash at Farmer Mac supports the organization’s core treasury activities, including cash management, liquidity and position management, payment processing, debt issuance, derivatives, settlements, and investment operations. Key responsibilities include managing daily cash positioning and forecasting, administering banking relationships, and executing treasury transactions with high accuracy and control.
This role is critical to support system testing, issue resolution, and process enhancements to improve operational effectiveness and data integrity.
Serving as a key liaison among the Treasury front office, Accounting, and other internal stakeholders, the Senior Analyst ensures timely communication, accurate reporting, and cross-functional alignment. While the role supports transaction workflows and lifecycle management, it does not include authority for trade execution.
The ideal candidate is highly detail-oriented, able to manage multiple priorities under tight deadlines, and capable of working both independently and collaboratively while adhering to established procedures, internal controls, and a strong governance framework.
The People You Will Work With
The position will report to the Senior Director of Treasury Operations and will primarily support the Treasury front office team responsible for cash management, debt issuance settlement, and investment activities. The position will interact with Farmer Mac’s debt and derivatives counterparties as well as internal stakeholders across the Finance team, with a core focus on supporting the Treasury operations team in their coordination with the Treasury and Accounting teams. The position is expected to, together with the IT team, support the front-end systems and databases used by the Treasury Operations team in the settlement of the cash, debt, derivative, and investment portfolios.
Where and When You Will Work
Work is to be conducted following a hybrid model, combining work-from-home days and in-person at Farmer Mac’s headquarters at 2100 Pennsylvania N.W., Suite 450 N, Washington, DC. This is not a fully remote position, and significant travel is not expected. This position requires availability during market hours, with core business hours Monday through Friday from 8:00 am to 5:00 p.m. Eastern Time. This position may need to be available on occasion outside the core business hours and/or business days for planned and unplanned activities, including completing time-sensitive projects and attending off-site meetings and events.
Primary Responsibilities and Duties
Treasury Operations & Financial Transaction Management
Oversee and ensure accurate processing and settlement of debt, derivative, and investment transactions, including confirmation of trade entries and lifecycle events Manage daily cash positioning and liquidity, ensuring alignment with funding requirements and investment activity Support and monitor position management across funding, investment, and hedging portfolios, ensuring completeness and accuracy of cash position. Act as the primary liaison between Treasury Front Office, Treasury Operations, Accounting, and external counterparties to resolve trade and settlement discrepancies in a timely manner Coordinate and execute payment processing, including interest, principal, derivative settlements, and accounts payable activities in accordance with established controls Collateral Management, Margin & Documentation
Support daily collateral operations, including processing, validation, and settlement of margin calls with counterparties and custodians Execute and monitor initial and variation margin movements across cleared and bilateral derivatives, ensuring timely settlement and adherence to regulatory requirements Maintain and apply ISDA agreements and Credit Support Annex (CSA) terms within systems to ensure accurate collateral calculations and settlements Reconcile margin calls and positions with counterparties, identifying and resolving discrepancies in a timely manner Coordinate with custodians, clearing brokers, and counterparties to ensure proper settlement of collateral and securities movements Support transaction processing and settlement activities related to debt issuances and derivative instruments, ensuring accuracy and completeness of documentation Data Integrity, Reconciliation & Reporting
Ensure accuracy and completeness of data across treasury systems through regular reconciliations between trade capture platforms, sub-ledgers, general ledger, and reporting systems Perform daily and periodic reconciliations of bank statements, trades, and cash positions, investigating and resolving breaks in coordination with internal stakeholders Partner with Finance, Accounting, and Data teams to identify root causes of data discrepancies and implement sustainable fixes Support production of daily, monthly, and quarterly reporting, including cash positions and investment activity Support period-end close processes, including reconciliations, variance analysis, and escalation of exceptions Process Improvement, Systems & Controls
Drive process improvement initiatives to enhance efficiency, scalability, and control across treasury operations, including automation of manual processes Support implementation, testing, and optimization of treasury operation systems (FIS Integrity) and related data integrations Design and implement automated solutions leveraging data tools, AI, and robotic process automation to improve reporting, reconciliation, and transaction processing Strengthen and maintain internal controls, partnering with Audit and Risk teams to ensure compliance with policies and regulatory requirements Conduct periodic reviews of operational workflows to identify risks, inefficiencies, and opportunities for standardization and best practices Regulatory, Risk & Governance Support
Support preparation of data and documentation required for regulatory reporting and compliance Assist in onboarding processes for new legal entities, ensuring proper system setup and documentation Ensure adherence to internal governance standards and external regulatory requirements across all treasury operations activities Desired Skills and Qualifications
Hands-on experience with FIS Treasury Management Systems (e.g., FIS Integrity, ACH Processor, eWire, and Swift Service Bureau) Strong understanding of U.S. Payment rails, including: Fedwire Funds Service, Fedwire Securities Service, ACH, FedNow, and RTP Strong understanding of treasury operations, cash management, cash positioning, liquidity forecasting, and transaction lifecycle processing, including settlements for debt, derivatives, and investment securities Working knowledge of fixed income products, interest rate derivatives, and collateral/margin processes (initial and variation margin) from an operational and control perspective Demonstrated ability to communicate effectively in writing and verbally with internal teams (Front Office, Accounting, Risk) and external counterparties to resolve operational issues Strong commitment to accuracy, control, and process discipline, with a proactive mindset toward supporting Treasury Operations and ensuring seamless trade and payment settlement Proven ability to analyze and improve operational workflows, including identifying opportunities to enhance efficiency through automation, AI, or process redesign Advanced proficiency in Excel, Word, and PowerPoint required Education and Experience
Minimum of 5+years of experience in Treasury Operations, back office, or financial operations, with direct involvement in cash management, settlements, reconciliations, and transaction support across debt, investment securities, and derivatives Bachelor’s degree in finance, mathematics, engineering, or a related field required. Experience working with a front office trade system (Calypso) and Treasury Management systems such as FIS Integrity, ACH Processor, eWire, Swift Service Bureau, or similar is strongly preferred Our compensation philosophy is targeted pay positioning relative to peers, our industry, and external markets. Farmer Mac is committed to a compensation program that will enable the organization to attract, motivate, reward, and retain highly skilled and creative talent to maintain sustained long-term performance and achieve the organization’s strategic business objectives. The typical salary range for this position is between $95,000 - $115,000, although wages can vary based on experience and geography, plus performance-based bonus and equity-based awards. Individual compensation will be commensurate with the candidate's experience.
Full job record
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| Org ID | 9d5bd738-e127-42c8-91eb-637914d3789a |
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| Board ID | 4f10803f-c2fd-4772-99d5-8a498dd94497 |
| Provider | adp_workforcenow |
| Provider Job Key | 568950 |
| Title | Senior Analyst - Treasury Operations and Cash |
| Normalized Title | — |
| Status | active |
| Active | yes |
| Location Text | Washington, DC, US, Washington, DC |
| Department | — |
| Team | — |
| Employment Type | full_time |
| Workplace Type | remote |
| Remote Policy | remote |
| Country | United States |
| Region | DC |
| City | Washington |
| Salary Raw | 95000.00 To 115000.00 (USD) Annually |
| Salary Min | 95,000 |
| Salary Max | 115,000 |
| Salary Currency | USD |
| Salary Period | year |
| Source URL | https://workforcenow.adp.com/mascsr/default/mdf/recruitment/recruitment.html?cid=324a4031-59fe-4b64-b9a3-ec4705312baf&ccId=19000101_000001&lang=en_US&type=JS&jobId=568950&jwId=9205065259793_1 |
| Apply URL | https://workforcenow.adp.com/mascsr/default/mdf/recruitment/recruitment.html?cid=324a4031-59fe-4b64-b9a3-ec4705312baf&ccId=19000101_000001&lang=en_US&type=JS&jobId=568950&jwId=9205065259793_1 |
| First Seen At | 2026-05-31 18:30:27Z |
| Last Seen At | 2026-06-06 11:50:20Z |
| Last Checked At | 2026-06-06 11:50:20Z |
| Last Changed At | 2026-06-06 11:50:20Z |
| Inactive At | — |
| Source Posted At | 2026-05-18 12:36:00Z |
| Source Updated At | — |
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"requisitionDescription": "<div><div><div><div><p data-pasted=\"true\" style=\"text-align: justify;\"><span style=\"font-size: 12px;\">The Senior Analyst - Treasury Operations and Cash at Farmer Mac supports the organization’s core treasury activities, including cash management, liquidity and position management, payment processing, debt issuance, derivatives, settlements, and investment operations. Key responsibilities include managing daily cash positioning and forecasting, administering banking relationships, and executing treasury transactions with high accuracy and control.</span></p><p style=\"text-align: justify;\"><span style=\"font-size: 12px;\">This role is critical to support system testing, issue resolution, and process enhancements to improve operational effectiveness and data integrity.</span></p><p style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Serving as a key liaison among the Treasury front office, Accounting, and other internal stakeholders, the Senior Analyst ensures timely communication, accurate reporting, and cross-functional alignment. While the role supports transaction workflows and lifecycle management, it does not include authority for trade execution.</span></p><p style=\"text-align: justify;\"><span style=\"font-size: 12px;\">The ideal candidate is highly detail-oriented, able to manage multiple priorities under tight deadlines, and capable of working both independently and collaboratively while adhering to established procedures, internal controls, and a strong governance framework.</span></p><p><strong><span style=\"color: rgb(40, 50, 78);\">The People You Will Work With<br></span></strong></p><p style=\"text-align: justify;\"><span style=\"font-size: 12px;\">The position will report to the Senior Director of Treasury Operations and will primarily support the Treasury front office team responsible for cash management, debt issuance settlement, and investment activities. The position will interact with Farmer Mac’s debt and derivatives counterparties as well as internal stakeholders across the Finance team, with a core focus on supporting the Treasury operations team in their coordination with the Treasury and Accounting teams. The position is expected to, together with the IT team, support the front-end systems and databases used by the Treasury Operations team in the settlement of the cash, debt, derivative, and investment portfolios. </span></p><p><strong><span style=\"color: rgb(40, 50, 78);\">Where and When You Will Work<br></span></strong></p><p style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Work is to be conducted following a hybrid model, combining work-from-home days and in-person at Farmer Mac’s headquarters at 2100 Pennsylvania N.W., Suite 450 N, Washington, DC. This is not a fully remote position, and significant travel is not expected. This position requires availability during market hours, with core business hours Monday through Friday from 8:00 am to 5:00 p.m. Eastern Time. This position may need to be available on occasion outside the core business hours and/or business days for planned and unplanned activities, including completing time-sensitive projects and attending off-site meetings and events. </span></p><p><strong><span style=\"color: rgb(40, 50, 78);\">Primary Responsibilities and Duties<br></span></strong></p><p><span style=\"font-size: 12px;\"><strong>Treasury Operations & Financial Transaction Management<br></strong></span></p><ul><li data-pasted=\"true\" style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Oversee and ensure accurate processing and settlement of debt, derivative, and investment transactions, including confirmation of trade entries and lifecycle events</span></li><li style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Manage daily cash positioning and liquidity, ensuring alignment with funding requirements and investment activity</span></li><li style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Support and monitor position management across funding, investment, and hedging portfolios, ensuring completeness and accuracy of cash position. </span></li><li style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Act as the primary liaison between Treasury Front Office, Treasury Operations, Accounting, and external counterparties to resolve trade and settlement discrepancies in a timely manner</span></li><li style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Coordinate and execute payment processing, including interest, principal, derivative settlements, and accounts payable activities in accordance with established controls</span></li></ul><p><span style=\"font-size: 12px;\"><strong>Collateral Management, Margin & Documentation<br></strong></span></p><ul><li data-pasted=\"true\" style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Support daily collateral operations, including processing, validation, and settlement of margin calls with counterparties and custodians</span></li><li style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Execute and monitor initial and variation margin movements across cleared and bilateral derivatives, ensuring timely settlement and adherence to regulatory requirements </span></li><li style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Maintain and apply ISDA agreements and Credit Support Annex (CSA) terms within systems to ensure accurate collateral calculations and settlements</span></li><li style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Reconcile margin calls and positions with counterparties, identifying and resolving discrepancies in a timely manner</span></li><li style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Coordinate with custodians, clearing brokers, and counterparties to ensure proper settlement of collateral and securities movements</span></li><li style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Support transaction processing and settlement activities related to debt issuances and derivative instruments, ensuring accuracy and completeness of documentation</span></li></ul><p><span style=\"font-size: 12px;\"><strong>Data Integrity, Reconciliation & Reporting<br></strong></span></p><ul><li data-pasted=\"true\" style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Ensure accuracy and completeness of data across treasury systems through regular reconciliations between trade capture platforms, sub-ledgers, general ledger, and reporting systems</span></li><li style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Perform daily and periodic reconciliations of bank statements, trades, and cash positions, investigating and resolving breaks in coordination with internal stakeholders</span></li><li style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Partner with Finance, Accounting, and Data teams to identify root causes of data discrepancies and implement sustainable fixes</span></li><li style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Support production of daily, monthly, and quarterly reporting, including cash positions and investment activity</span></li><li style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Support period-end close processes, including reconciliations, variance analysis, and escalation of exceptions</span></li></ul><p><span style=\"font-size: 12px;\"><strong>Process Improvement, Systems & Controls<br></strong></span></p><ul><li data-pasted=\"true\" style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Drive process improvement initiatives to enhance efficiency, scalability, and control across treasury operations, including automation of manual processes</span></li><li style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Support implementation, testing, and optimization of treasury operation systems (FIS Integrity) and related data integrations</span></li><li style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Design and implement automated solutions leveraging data tools, AI, and robotic process automation to improve reporting, reconciliation, and transaction processing</span></li><li style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Strengthen and maintain internal controls, partnering with Audit and Risk teams to ensure compliance with policies and regulatory requirements</span></li><li style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Conduct periodic reviews of operational workflows to identify risks, inefficiencies, and opportunities for standardization and best practices</span></li></ul><p><strong><span style=\"font-size: 12px;\">Regulatory, Risk & Governance Support<br></span></strong></p><ul><li data-pasted=\"true\"><span style=\"font-size: 12px;\">Support preparation of data and documentation required for regulatory reporting and compliance</span></li><li><span style=\"font-size: 12px;\">Assist in onboarding processes for new legal entities, ensuring proper system setup and documentation</span></li><li><span style=\"font-size: 12px;\">Ensure adherence to internal governance standards and external regulatory requirements across all treasury operations activities</span></li></ul><p><strong><span style=\"color: rgb(40, 50, 78);\">Desired Skills and Qualifications<br></span></strong></p><ul><li data-pasted=\"true\" style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Hands-on experience with FIS Treasury Management Systems (e.g., FIS Integrity, ACH Processor, eWire, and Swift Service Bureau) </span></li><li style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Strong understanding of U.S. Payment rails, including: Fedwire Funds Service, Fedwire Securities Service, ACH, FedNow, and RTP</span></li><li style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Strong understanding of treasury operations, cash management, cash positioning, liquidity forecasting, and transaction lifecycle processing, including settlements for debt, derivatives, and investment securities</span></li><li style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Working knowledge of fixed income products, interest rate derivatives, and collateral/margin processes (initial and variation margin) from an operational and control perspective</span></li><li style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Demonstrated ability to communicate effectively in writing and verbally with internal teams (Front Office, Accounting, Risk) and external counterparties to resolve operational issues</span></li><li style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Strong commitment to accuracy, control, and process discipline, with a proactive mindset toward supporting Treasury Operations and ensuring seamless trade and payment settlement</span></li><li style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Proven ability to analyze and improve operational workflows, including identifying opportunities to enhance efficiency through automation, AI, or process redesign</span></li><li style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Advanced proficiency in Excel, Word, and PowerPoint required</span></li></ul><p><span style=\"color: rgb(40, 50, 78);\"><strong>Education and Experience<br></strong></span></p><ul><li data-pasted=\"true\" style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Minimum of 5+years of experience in Treasury Operations, back office, or financial operations, with direct involvement in cash management, settlements, reconciliations, and transaction support across debt, investment securities, and derivatives</span></li><li style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Bachelor’s degree in finance, mathematics, engineering, or a related field required.</span></li><li style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Experience working with a front office trade system (Calypso) and Treasury Management systems such as FIS Integrity, ACH Processor, eWire, Swift Service Bureau, or similar is strongly preferred </span></li></ul><p style=\"text-align: justify;\"><span style=\"font-size: 12px;\">Our compensation philosophy is targeted pay positioning relative to peers, our industry, and external markets. Farmer Mac is committed to a compensation program that will enable the organization to attract, motivate, reward, and retain highly skilled and creative talent to maintain sustained long-term performance and achieve the organization’s strategic business objectives. The typical salary range for this position is between $95,000 - $115,000, although wages can vary based on experience and geography, plus performance-based bonus and equity-based awards. Individual compensation will be commensurate with the candidate's experience.<br></span></p><p><br></p><p><br></p></div></div></div></div>\n",
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}Get this page with API
Rendered from the bluedoor Job Postings API. Reproduce it:
GET https://api.bluedoor.sh/job-postings/v1/jobs/393640c9da78ff542eabb359ad2cd94f6f587418?include=descriptionJSONGET https://api.bluedoor.sh/job-postings/v1/orgs/9d5bd738-e127-42c8-91eb-637914d3789aJSONGET https://api.bluedoor.sh/job-postings/v1/sources/4f10803f-c2fd-4772-99d5-8a498dd94497JSONGET https://api.bluedoor.sh/job-postings/v1/jobs/393640c9da78ff542eabb359ad2cd94f6f587418/eventsJSON