Unknown Company

Deputy Treasurer

new york, new york • Posted 1 weeks ago
Onsite Full Time General

Our client, is a premier global market-access and financial infrastructure platform, operating at the intersection of capital, commodities, and derivatives markets, providing institutional market-making, agency execution, clearing services, and bespoke risk management solutions. With a footprint spanning dozens of global offices and thousands of industry professionals, they are seeking a high-caliber Business Manager, who can operate as a Deputy to the Americas Treasurer to join their Treasury leadership unit in a newly established strategic role.

Overview

Serving as a crucial bridge between Treasury, Front Office desks, Risk, and Corporate Finance, you will play a central role in executing capital management strategies, modernizing liquidity frameworks, and optimizing day-to-day balance sheet activities.

This is a dynamic, high-visibility role ideal for an experienced financial services professional looking to directly influence corporate strategy, regulatory readiness, and operational architecture.

Responsibilities

  • Act as the primary operational partner to the US Treasurer, driving novel liquidity programs, funding initiatives, and collateral optimization strategies.
  • Identify structural efficiencies across Treasury operations; design, test, and roll out automated workflow tools to optimize cash visibility and risk reporting.
  • Maintain firm-wide compliance with applicable regulatory mandates (SEC, CFTC, FINRA, NFA). Oversee capital policy maintenance, including Contingency Funding Plans and Funds Transfer Pricing (FTP).
  • Refine daily liquidity monitoring models and stress-testing parameters in tandem with Risk Management to reflect evolving market conditions.
  • Prepare executive briefings and represent the Treasury group in engagements with regulatory bodies, auditing firms, and rating agencies.
  • Lead internal control assessments (RCSA) in partnership with Operational Risk and oversee capital risk reviews for prospective product rollouts.

Requirements:

  • Bachelor’s degree in Finance, Economics, Accounting, or a related quantitative field.
  • 10+ years of progressive Treasury, Business Management, or financial risk experience within broker-dealer, derivatives, or institutional banking environments.
  • In-depth understanding of US capital markets regulations, funding dynamics, and liquidity management principles.
  • High-impact communicator capable of simplifying complex balance sheet topics for executive leadership and external oversight bodies.
  • Proven track record of managing competing priorities in high-velocity, transaction-heavy financial environments.
  • Self-directed analytical thinker with strong project management instincts and a collaborative leadership style.

Core Values & Culture

  • Client Centricity & Integrity: Driven by transparent execution, rigorous ethical standards, and accountability.
  • Agility & Innovation: Built on non-bureaucratic, highly adaptable operations that empower decisive action.
  • Collaborative Growth: Dedicated to team-first problem solving, open dialog, and long-term career advancement.

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Deputy Treasurer in new york at Unknown Company

This position is listed as full time and onsite.

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