Treasury Quant Analyst – Cash, Liquidity & Automation

Trading Interview

Chicago, Northern (IL, KY)

Hybrid

USD 90,000 - 130,000

Full time

14 days+
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Job summary

Belvedere Trading seeks an experienced Treasury Specialist to join the Treasury team. This role focuses on cash management, aligning liquidity, and ensuring adherence to regulatory limits while educating stakeholders to improve firm-level decisions.

You will work directly with trading, risk, and finance teams to optimize cash and liquidity management decisions. The team operates in a data-informed, fast-paced environment.

Qualifications

  • 3+ years in quantitative finance.
  • Proficiency with Python and SQL required.
  • Strong analytical and quantitative problem-solving skills.
  • Experience with journal entries, reconciliations, and accruals from treasury transactions.
  • Experience with data analytics tools such as PowerBI and Looker a plus.
  • Ability to be in Belvedere's Chicago headquarters, during regular business hours, 5 days per week.

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 to ensure firm-wide alignment.
  • Develop and support treasury policies, procedures, and controls.
  • Champion best practices in treasury management.
  • Identify, track, and analyze treasury KPIs to improve performance.
  • Educate stakeholders across the firm.
  • Contribute to automating processes.

Skills

Python
SQL
Quantitative finance
Analytical thinking
PowerBI
Looker

Tools

PowerBI
Looker

Job description

Belvedere Trading seeks an experienced Treasury Specialist to join the Treasury team. This role focuses on cash management, aligning liquidity, and ensuring adherence to regulatory limits while educating stakeholders to improve firm-level decisions.

You will work directly with trading, risk, and finance teams to optimize cash and liquidity management decisions. The team operates in a data-informed, fast-paced environment.

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