Treasury Operations Analyst - Foreign Exchange; FX - Hybrid; Buffalo, NY
Listed on 2026-06-26
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Finance & Banking
Financial Analyst, Risk Manager/Analyst
Work Arrangement / Location
Hybrid position requiring in-office work four days per week at M&T Bank’s One M&T Plaza office in Downtown Buffalo, NY.
In-office work on Tuesdays is mandatory. Employees can choose the other three days per week that they work in the office.
OverviewProvides analytical, operational and/or project support to one or more functional areas of Treasury Operations.
Primary Responsibilities- Complete medium complexity data entry and trade entry updates across a range of disciplines.
- Perform medium level analysis and judgment based work over various disciplines within the department.
- Produce medium complexity documentation for system input with quality control, validation, and moderate customer service requests.
- Obtain and review documentation prior to submitting to management the details necessary for departmental audits; may participate in interdepartmental projects.
- Respond to more complex requests involving research in multiple systems; perform adjustments and reconciliations; work with Senior Management to define and outline escalation criteria.
- Use internal procedures across the department without collaboration to complete tasks.
- Validate and reconcile various trade related details, including validation, reporting, and customer confirmations.
- Assist with cross‑training and ensure basic understanding of tasks are correctly outlined.
- Understand and adhere to the company’s risk and regulatory standards, policies and controls in accordance with the company’s risk appetite; identify risk‑related issues needing escalation to management.
- Promote an inclusive environment that supports belonging and reflects the M&T Bank brand.
- Maintain M&T internal control standards, including timely implementation of internal and external audit points and any issues raised by external regulators as applicable.
- Complete other related duties as assigned.
This position works in one of the following areas of Treasury Operations:
Fixed Income Operations, Derivatives Operations, Foreign Exchange Operations, Treasury Administration and Portfolio Analytics.
- Associate’s degree and a minimum of 2 years’ work experience in a relevant field, or in lieu of a degree, a combined minimum of 4 years’ higher education and/or work experience, including a minimum of 2 years’ work experience in a relevant field.
- Basic to intermediate proficiency with personal computers as well as pertinent spreadsheet, word processing and email software.
- Proven analytical and critical thinking skills.
- Proven time management skills.
- Comfortable and proven ability to communicate verbally and in writing with various levels of personnel.
- Detail‑oriented.
- Ability to pivot from one task to another quickly and effectively.
- Bachelor’s degree in Finance or Accounting or related field.
- Experience with wire transfers is ideal.
- Proven ability to be part of a working project and interject the necessary expertise to help guide results.
- Basic accounting related skills, including reconciliations experience, is ideal.
- Python and Tableau experience.
- Document review experience.
M&T Bank is committed to fair, competitive, and market-informed pay for our employees. The pay range for this position is $22.61 - $37.67 hourly (USD). The successful candidate’s particular combination of knowledge, skills, and experience will inform their specific compensation.
Location:
Buffalo, New York, United States of America.
M&T Bank Corporation is an Equal Opportunity/Affirmative Action Employer, including disabilities and veterans.
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