T. Rowe Price Cash and FX Investment Analyst in Baltimore, Maryland
A career at T. Rowe Price says you want to contribute and make a difference at a leading global investment management firm where success results from the dedication our associates have in building success for our clients. We are a growing organization of associates from diverse backgrounds, experiences, and perspectives.We take a long-term view on associates and their careers. Our associates do phenomenal work with purpose, and as a result, we provide growth opportunities through in-person and online training, management development programs, and career development on the job.If you are seeking a meaningful work experience along with a workplace culture that thrives on teamwork, we invite you to explore the opportunity to join us.
Cash and FX Investment Analyst Job Description
PRIMARY PURPOSE OF THE POSITION
The Cash and FX Investment Analyst is responsible for the coordination of cash data, management of currency (portfolios), trading and hedging, and the establishment, implementation and ownership of cash and FX strategies, processes and policies.
Oversee cash balances and cash flow activity for equity and fixed income accounts. Evaluate data and communicate with other investment staff to ensure proper trading and settlement timing. Review trading activity to verify consistency with cash flow details. Act as primary contact for cash and FX related data. Drive firm-wide cash practices and policies. Assess impacts to cash management resulting from non-cash issues, changing business practices, or process gaps.
Manage currency in equity and fixed income accounts. Monitor balances and related cash flow and trading activity to identify currency needs. Raise FX orders on the back of trading and to cover cash flows or to repatriate balances resulting from income or corporate actions.
Manage hedging strategies for equity, fixed income and asset allocation strategies. Calculate, generate and route FX orders, roll forward positions, monitor exposure, and evaluate results of hedging strategies. Evaluate trading costs, settlement issues, and trading strategies. Identify and implement appropriate customized investment hedging strategies and processes for new mandates
Lead and participate in projects impacting cash and currency management, including but not limited to monitoring of surplus cash investment vehicles, development of cash and FX systems and processes, and governing of FX standing instructions.
Completion of, or progress towards, a graduate degree or CFA/CPA
Ability to analyze a variety of information, to quickly draw relevant conclusions, and to summarize and communicate results effectively.
Excellent communication and interpersonal skills
Ability to ask for and assimilate communication from multiple parties to make pertinent trading decisions is paramount.
Attention to detail and accuracy
Ability to work both independently and as part of a larger team
Open-minded, logical, determined, and highly ethical along with creativity, intellectual curiosity, and strong analytical skills.
College degree and five years of related work experience, or a minimum of 10 years related work experience
T. Rowe Price is an equal opportunity employer and values diversity of thought, gender, and race. We believe our continued success depends upon the equal treatment of all associates and applicants for employment without discrimination on the basis of race, religion, creed, colour, national origin, sex, gender, age, mental or physical disability, marital status, sexual orientation, gender identity or expression, citizenship status, military or veteran status, pregnancy, or any other classification protected by country, federal, state, or local law.T. Rowe Price is an asset management firm focused on delivering global investment management excellence and retirement services that investors can rely on–now, and over the long term.
Not ready to apply? Join our Talent Community!