Senior Treasury Analyst

The Voleon Group
$120,000 - $150,000

About The Position

Voleon is a technology company that applies state-of-the-art AI and machine learning techniques to real-world problems in finance. For nearly two decades, we have led our industry and worked at the frontier of applying AI/ML to investment management. We have become a multibillion-dollar asset manager, and we have ambitious goals for the future. Your colleagues will include internationally recognized experts in artificial intelligence and machine learning research as well as highly experienced finance and technology professionals. The people who shape our company come from other backgrounds, including concert music performances, humanitarian aid, opera singing, sports writing, and BMX racing. You will be part of a team that loves to succeed together. In addition to our enriching and collegial working environment, we offer highly competitive compensation and benefits packages, technology talks by our experts, a beautiful modern office, daily catered lunches, and more. We are seeking a Senior Treasury Analyst to enhance Voleon’s returns on cash, manage liquidity, and support key treasury initiatives. The ideal candidate is a self-starter who operates independently while collaborating effectively across teams. Reporting directly to the Fund Finance Director, you will work closely with talented colleagues across the firm to manage cash and liquidity. You will also partner with the Fund Accounting and Operations teams, as well as other technical teams, to support growth initiatives and scale Voleon’s infrastructure. This role offers the opportunity to make a meaningful impact. As a core member of the Finance team, you will help drive daily operations while building and strengthening the infrastructure that supports our continued growth.

Requirements

  • Bachelor’s or Master’s degree in a quantitative discipline (e.g., finance, mathematics, engineering, or economics)
  • 5+ years of experience at a prime broker, asset manager, fund manager, or similar organization with a treasury program, and a strong understanding of treasury management
  • Excellent analytical, problem-solving, and communication skills
  • Ability to work independently while managing multiple priorities in a fast-paced, dynamic environment

Responsibilities

  • Optimize yield above prevailing money market fund benchmarks (e.g., TSTXX) through effective cash and collateral management
  • Analyze the liquidity impact of trading strategies under various market and funding conditions
  • Manage the fund’s liquidity requirements across legal entities, accounts, markets, brokers, and currencies
  • Contribute to the firm’s stress liquidity modeling and scenario analyses
  • Support and drive optimization initiatives across the global Treasury organization
  • Research treasury management platforms and enhance the efficiency and embedded controls of the wire process

Benefits

  • medical, dental and vision coverage
  • life and AD&D insurance
  • 20 days of paid time off
  • 9 sick days
  • 401(k) plan with a company match
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