What are the responsibilities and job description for the Senior Broker Dealer Treasury Manager position at Atlas Search?
Job Description:
THE ROLE
our firm is seeking a Senior Treasury Operations Manager to join our Operations team. This role sits at the intersection of treasury operations, liquidity risk, and capital efficiency — and plays a critical part in ensuring that the firms liquidity and capital is managed and deployed optimally across its global trading activities. The ideal candidate has experience in trading and broker dealer operations within a global financial services trading firm, a strong command of liquidity and counterparty dynamics, and the ability to partner effectively across trading, risk, and operations.
RESPONSIBILITIES
- Oversee daily cash positioning across all counterparties to ensure optimal liquidity and funding availability across the firm's global trading activities.
- Develop and manage short-term liquidity forecasting, including stress scenarios and margin requirements, providing actionable insights to senior leadership.
- Optimize cash deployment through the allocation of excess liquidity into appropriate short-term instruments, balancing return and risk.
- Partner in managing prime broker relationships, credit facilities, and collateral usage, including ongoing negotiation and performance review
- Serve as a key cross-functional partner to trading, operations, and risk teams to align liquidity and capital usage with firm strategy.
- Implement and enhance treasury systems, controls, and reporting frameworks covering cash positioning, liquidity risk, and counterparty exposures
Company Requirements:
EXPERIENCE & QUALIFICATIONS
- 7 years of experience in treasury, broker-dealer operations and/or capital markets, or a related financial operations function within a financial services firm, broker-dealer, or trading firm
- Strong working knowledge of cash management and liquidity risk frameworks
- Experience managing prime broker and/or counterparty relationships, including collateral and margin dynamics
- Familiarity with clearing and settlement processes across multiple asset classes (equities, options, fixed income, FX, crypto a plus)
- Demonstrated ability to build and enhance treasury reporting infrastructure and controls
- Strong analytical and communication skills; comfortable operating in a fast-paced, flat organization and engaging with senior stakeholders
- Bachelor's degree in Finance, Accounting, Economics, or related field; CTP or CFA a plus
Salary : $150,000 - $275,000