Analyst, FCM Treasury Operations

Posted 23 Days Ago
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Chicago, IL
Hybrid
1-3 Years Experience
Fintech • Software • Financial Services
Modernizing the brokerage ecosystem.
The Role
Responsible for performing day to day FCM treasury activities, including reconciliation of the firm's investment portfolio, analyzing daily cash flows, and monitoring cash and securities movements. Assist with managing the Treasury Investment Portfolio, provide daily reporting to management, and ensure regulatory compliance with various financial institutions. Maintain Treasury policies and procedures. Requires at least one year of professional experience in major banking and exchange platforms for Treasury Operations and a BS/BA degree in Finance, Accounting, Business, or a related field. Proficiency in Microsoft Suite, Swift processing, and FINRA Series 99 is a plus. Knowledge of CFTC safekeeping rules and Global Exchange margin requirements is desirable.
Summary Generated by Built In

About Clear Street: 

Clear Street is modernizing the brokerage ecosystem. Founded in 2018, Clear Street is a diversified financial services firm replacing the legacy infrastructure used across capital markets.

We started from scratch by building a completely cloud-native clearing and custody system designed for today’s complex, global market. Clear Street’s proprietary prime brokerage platform adds significant efficiency to the market, while focusing on minimizing risk, redundancy, and cost for clients. Our goal is to create a single source-of-truth platform for every asset class, in every country, and in any currency.

By combining highly-skilled product and engineering talent with seasoned finance professionals, we’re building the essentials to compete in today’s fast-paced markets.

The Role:

Responsible for performing day to day FCM treasury activities, including reconciliation and accrual the Firm’s investment portfolio, analyzing daily cash flows and monitoring of cash and securities movements between exchange, carrying broker and bank depositories.

Responsibilities:

  • Responsible for assisting day-to-day FCM treasury operations functions
  • Reconciling exchange cash and collateral deposits
  • Performing daily cash flows and movement of funds and transactions to support clearing operations.
  • Assist with the management of the Treasury Investment Portfolio, liaison with FCM Investment Committee and Risk, provide daily reporting to management.
  • Review foreign currency balances, and anticipated currency needs, instruct conversions as required
  • Reconciliation of Bank interest and fees
  • Assist Finance with the firm’s residual interest, segregation, and customer cash management regulatory compliance
  • Month end close tasks, as applicable
  • Maintain Treasury policies and procedures

Requirements:

  • At least one (1)  year of professional experience with major banking and exchange platforms used for Treasury Operations
  • BS/BA Degree in Finance, Accounting, Business or related field
  • Proficient is Microsoft Suite i.e. Word and Excel
  • Swift processing a plus
  • FINRA Series 99 a plus
  • Proficient with Commodity Futures Trading Commission (CFTC) safekeeping rules and with Global Exchange margin requirement timelines are nice to have

We Offer: 

At Clear Street, we offer competitive compensation packages, company equity, 401k matching, gender neutral parental leave, and full medical, dental and vision insurance. Our belief has always been that we are better as a business when we are all together in person. As such, beginning on January 2, 2023, we are requiring employees to be in the office 4 days per week. 

Our top priority is our people. We’re continuously investing in a culture that promotes collaboration. We help each other through challenges and celebrate each other's successes. We believe that modern workplaces succeed by virtue of having high-performance workforces that are diverse — in ideas, in cultures, and in experiences. We put in the effort to make such a workplace a daily reality and are proud to be an equal opportunity employer.

#LI-Hybrid

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The Company
HQ: New York, NY
400 Employees
Hybrid Workplace
Year Founded: 2018

What We Do

Founded in 2018, Clear Street is a diversified financial services firm replacing the legacy infrastructure used across capital markets.

We started from scratch by building a completely cloud-native clearing and custody system designed for today’s complex, global market. Clear Street’s proprietary platform adds significant efficiency to the market while focusing on minimizing risk, redundancy, and cost for clients. Clear Street’s goal is to create a single platform for every asset class, in every country, and in any currency.

By combining highly-skilled product and engineering talent with seasoned finance professionals, we’re building the essentials to compete in today’s fast-paced markets.

Why Work With Us

Clear Street has thoughtfully cultivated a team that combines problem-solving engineers with financial industry experts across clearing platforms, compliance, and more. The company is focused on building a team that is motivated to tackle fintech innovation and create a collaborative work culture for everyone.

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Clear Street Offices

Hybrid Workspace

Employees engage in a combination of remote and on-site work.

We are requiring employees to be in the office 4 days per week. In-office benefits include lunch stipends, fully stocked kitchens, happy hours, a great location, and amazing views.

Typical time on-site: 4 days a week
HQNew York, NY
Del Mar, CA
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