Treasury Quant Analyst: Cash & Liquidity Optimization

Selby Jennings

Chicago (IL)

On-site

USD 120,000 - 170,000

Full time

2 days ago
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Job summary

Selby Jennings seeks an experienced Quantitative Analyst to join our Treasury team, focusing on cash management optimization, liquidity modeling, and regulatory compliance insights. You will work with Trading, Risk, and Finance to implement scalable analytical solutions and enhance capital efficiency.

The role emphasizes data-driven decision-making, development of financial models for liquidity and cash flows, and building automated treasury tools for efficient operations.

Qualifications

  • 3+ years of experience in quantitative finance, ideally within treasury, trading, or risk environments.
  • Strong proficiency in Python and SQL for data analysis, modeling, and automation.
  • Advanced analytical and problem-solving skills with the ability to work with large, complex datasets.
  • Experience building or supporting financial models related to liquidity, cash flows, or risk.
  • Familiarity with accounting concepts such as journal entries, reconciliations, and accruals related to treasury activity.
  • Experience with data visualization and BI tools (Power BI, Looker) is a plus.
  • Strong communication skills with the ability to present quantitative insights to non-technical stakeholders.

Responsibilities

  • Apply quantitative methods to support cash forecasting, liquidity modeling, and optimization.
  • Develop and maintain models to improve cash management efficiency and capital allocation.
  • Analyze and communicate liquidity exposures, funding strategies, and risk metrics to stakeholders across trading, risk, and finance.
  • Partner with cross-functional teams to ensure alignment on treasury strategies and risk management practices.
  • Design, implement, and enhance treasury analytics, KPIs, and performance tracking frameworks.
  • Contribute to the development of automated tools and workflows for treasury processes.
  • Support the creation and refinement of treasury policies, controls, and governance frameworks.
  • Educate stakeholders by translating complex quantitative insights into clear, actionable recommendations.
  • Drive adoption of best practices in quantitative treasury management.

Skills

Python
SQL
Quantitative finance
Analytical skills
Data visualization

Tools

Power BI
Looker

Job description

Selby Jennings seeks an experienced Quantitative Analyst to join our Treasury team, focusing on cash management optimization, liquidity modeling, and regulatory compliance insights. You will work with Trading, Risk, and Finance to implement scalable analytical solutions and enhance capital efficiency.

The role emphasizes data-driven decision-making, development of financial models for liquidity and cash flows, and building automated treasury tools for efficient operations.

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