The Treasury department plays a critical role in safeguarding the firm's liquidity and maintaining the strength of its balance sheet. We manage cash, funding, investments, and banking relationships to support operational, strategic, and regulatory requirements across multiple legal entities. Treasury is responsible for liquidity management, broker-dealer reserve funding, settlements with trading partners and clearing organizations, intercompany and interbank transfers, short-term investments, and treasury risk oversight. We partner closely with Finance, Operations, Risk, Compliance, Legal, and business leaders to optimize capital deployment, manage financial risks, and support the firm's growth objectives. The Sr. Treasury Analyst is responsible for leading liquidity management, cash forecasting, funding, investment, and treasury risk management activities across multiple regulated entities, including broker-dealers and trust companies. This role serves as a subject matter expert in liquidity management, reserve requirements, balance sheet optimization, and treasury operations, while driving process improvements, automation initiatives, and strategic treasury projects. The ideal candidate combines strong analytical capabilities with the ability to influence stakeholders, provide actionable recommendations to leadership, and enhance the firm's liquidity position, risk management framework, and operational efficiency.
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Job Type
Full-time
Career Level
Senior