Treasury Analyst (Commodities)

Posted 20 Days Ago
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Stamford, CT, USA
In-Office
Mid level
Fintech • Software • Financial Services
The Role
The Treasury Analyst will manage global cash, liquidity, and trade finance operations, forecasting cash needs, analyzing working capital, and improving treasury processes with technology support.
Summary Generated by Built In
About Us

Engelhart was founded in 2013 by BTG Pactual Group as a commodities trading company. Our business model is “asset light” and highly diversified – giving us the ability to adapt effectively and nimbly to changing market conditions. We have assembled successful multidisciplinary teams, leveraging advanced fundamental analysis with deep quantitative and weather research capabilities.  Our activities are underpinned by strong risk management practices and by powerful technology and operational excellence. We have exceptional teams with diverse global backgrounds and decades of experience, and are driven by a highly collaborative culture, across products and competencies.

In 2024, Engelhart acquired Trailstone, a global energy trading and technology company. The acquisition provides us with new expertise, analytics and proprietary technology which is being used to provide risk management and optimisation services to help maximise the value of our clients’ renewable power. The acquisition also expanded Engelhart’s capabilities into physical natural gas across North America, a critical fuel to support the energy transition.

Our talented and experienced individuals work together according to its four company values: Performance, Agility, Collaboration, Entrepreneurship.

About the Role 

We are looking for an experienced Treasury professional to join our global finance team, working from our Stamford office on a hybrid basis. This position will offer the opportunity to run, design, and improve an international commodity tradertreasury operating model. In addition, focus will be on the ongoing operation flow for the area with concentration on cash settlements, liquidity management/reporting, and trade finance. 

Reporting directly to the North American Head of Treasury, this position will also work closely with both local and international teams across treasury, technology, and front office. 

This will be a full-time position, owning the following responsibilities: 

  • Global cash management: cash settlements as well as developing and executing global cash/liquidity management initiatives. 
  • Cash forecasting: group cash forecasting activity, monitoring and managing forecasting accuracy, taking remedial action where required. 
  • Trade finance: daily treasury/liquidity reporting and facility operation in relation to physical business flows. 
  • Credit facility reporting: controlling reporting outputs to ensure timely and accurate reporting for external facilities. 
  • Foreign currency: managing Group FX exposure, evaluating and reviewing FX risk in accordance with Group Treasury policy. 
  • Treasury projects: driving improvements across the group’s Treasury operating model in conjunction with the Tech team. 
  • New deal analysis: understanding working capital requirements on new deals and providing options to minimize requirements. 
  • Banking relationships: supporting ongoing banking relationships. 

About You 

This individual will be comfortable running day-to-day treasury operations, performing analytical work, and leading strategic projects. In addition, we are looking for somebody with the following experience and skills: 

  • Tangible experience in operational treasury; including cash management, liquidity, FX hedging, and trade finance. 
  • Prior experience with a Treasury Management System.  
  • Experience working with commodities markets, ideally with power and gas physical trading. 
  • Exposure to revolving credit facilities (RCF) and trade finance in general. 
  • Proficiency with working capital analysis and management. 
  • Proven ability to work with large data sets, and ability to automate related processes 

What we offer

  • Competitive compensation and participation in Engelhart’s discretionary bonus plan.  
  • 20 days of annual holiday entitlement, excluding US stock market holidays. 
  • Robust benefits package including Medical, Dental, Vision, Life insurance401(k) match, and supplemental benefits partially subsidized by the Company.  

We believe in inclusivity and are therefore dedicated to ensuring all employees – across gender identity, race, ethnicity, sexual orientation, religion, life experience, background and more – feel welcome and included in the company. We promote diversity because we believe it is essential to our ability to think holistically.


Top Skills

Large Data Sets
Treasury Management System
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The Company
HQ: London
404 Employees
Year Founded: 2013

What We Do

Engelhart is a global commodities trading company built for today's markets and the transitions shaping tomorrow. We trade across the full commodities complex, from energy and renewables to agriculture, metals, freight, and carbon. Our role is to connect markets, manage risk, and uncover value where others see volatility. What sets us apart is how we bring it together: • Deep market expertise across physical and financial products • Quantitative and data-led insight that strengthens decision-making • A culture that values collaboration, speed, and independent thinking Founded in 2013 as part of BTG Pactual Group, Engelhart operates with a strong balance sheet and a global footprint. Our teams combine technical depth with commercial instinct: delivering liquidity, price discovery, and stability to the world’s most dynamic markets. We don’t just trade what exists today. We help shape what comes next. Engelhart Where the future trades

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