Quantitative Analyst - Treasury
Belvedere Trading is a proprietary trading firm and market maker founded in Chicago. It develops proprietary trading models, software, and risk-management systems, and operates across Chicago, Boulder, New York, and Singapore.
About Belvedere Trading, LLC.
Belvedere Trading is a proprietary trading firm and market maker specializing in financial markets, including options, indices, commodities, equities, and equity strategies. The company uses proprietary trading models, software platforms, quantitative research, and risk-management capabilities to identify market inefficiencies and execute trading strategies. It also provides capital, infrastructure, operational support, and strategic guidance to backed trading groups and partners, and may acquire established trading teams or their intellectual property. The company recruits and trains quantitative traders, researchers, software engineers, and operations professionals through its Belvedere Trading University program.
Skills
Candidate Availability
Required and preferred rules are kept separate and reflect the wording in the original posting.
About the Role
Join the Treasury team to ensure efficient cash management, align short- and long-term liquidity, adhere to regulatory limits, and educate stakeholders to improve firm-level decisions. Work directly with trading, risk, and finance teams to optimize cash and liquidity management decisions in a fast-paced environment.
Requirements
- 3+ years of experience in the financial services industry in a quantitative capacity
- 3+ years in quantitative finance
- Proficiency with Python and SQL
- Strong analytical and quantitative problem-solving skills
- Experience with journal entries, reconciliations, and accruals from treasury transactions
- Experience with PowerBI and Looker is a plus
- Ability to work at Belvedere's Chicago headquarters during regular business hours 5 days per week
Responsibilities
- Perform daily cash management forecasting, optimization, and account transfers
- Recommend and implement strategies to improve cash management efficiency
- Communicate treasury strategies, exposures, and recommendations to managers, traders, and risk teams
- Develop and support treasury policies, procedures, and controls
- Champion best practices in treasury management
- Identify, track, and analyze treasury KPIs
- Educate stakeholders across the firm
- Contribute to automating processes
