Treasury Quant Analyst – Cash, Liquidity & Automation
Listed on 2026-10-07
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Finance & Banking
Financial Analyst, Risk Manager/Analyst, Banking & Finance, Banking Operations
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.
We have an opening for a Treasury Quant Analyst – Cash, Liquidity & Automation in Chicago, IL, United States within Finance.
We appreciate your interest in this position.
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Take a moment to read everything above and see whether this role is right for you.
This posting is for the Treasury Quant Analyst – Cash, Liquidity & Automation role at Trading Interview, based in Chicago, IL, United States.
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