Quantitative Analyst - Treasury

Join the Treasury team to ensure efficient cash management, align short- and long-term liquidity, adhere to regulatory limits, and educate stakeholders to improve firm-level decisions. Work directly with trading, risk, and finance teams to optimize cash and liquidity management decisions in a fast-paced environment.

Responsibilities

  • Perform daily cash management forecasting, optimization, and account transfers
  • Recommend and implement strategies to improve cash management efficiency
  • Communicate treasury strategies, exposures, and recommendations to managers, traders, and risk teams
  • Develop and support treasury policies, procedures, and controls
  • Champion best practices in treasury management
  • Identify, track, and analyze treasury KPIs
  • Educate stakeholders across the firm
  • Contribute to automating processes

Requirements

  • 3+ years of experience in the financial services industry in a quantitative capacity
  • 3+ years in quantitative finance
  • Proficiency with Python and SQL
  • Strong analytical and quantitative problem-solving skills
  • Experience with journal entries, reconciliations, and accruals from treasury transactions
  • Experience with PowerBI and Looker is a plus
  • Ability to work at Belvedere's Chicago headquarters during regular business hours 5 days per week

See also

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