Senior Treasury Analyst: Derivatives & Liquidity
Listed on 2026-10-07
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Finance & Banking
Financial Analyst, Financial Reporting, Risk Manager/Analyst
is seeking a Senior Treasury Analyst in Chicago to manage cash and liquidity for FCM and Nadex entities, ensuring regulatory compliance and robust treasury controls.
The role combines treasury and select accounting duties, partnering with Accounting and Finance for month-end close, reconciliations, and reporting. You’ll maintain banking relationships, dashboards, and drive automation to support growth in derivatives and global markets.
This role, Senior Treasury Analyst:
Derivatives & Liquidity at , could be your next move.
This role, Senior Treasury Analyst:
Derivatives & Liquidity at , could be your next career step.
Are you ready to take on the Senior Treasury Analyst:
Derivatives & Liquidity role at
We would love to welcome a new Senior Treasury Analyst:
Derivatives & Liquidity to our organisation in Chicago, IL, United States.
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