Junior Analyst, Treasury Operations
Graham Capital Management, L.P.(1 month ago)
About this role
The Cash Management Analyst will join the Treasury Operations team within the Trading Services department to support the firm’s cash and liquidity infrastructure that underpins trading activities. The role contributes to maintaining accurate cash account administration, reconciliations, platform enhancements, and consolidated reporting for senior management. The position is office-based in Rowayton, CT and is part of Graham’s operational support for its discretionary and quantitative trading businesses.
Required Skills
- Margin Analysis
- Wire Transfers
- Cash Reconciliation
- Liquidity Management
- Collateral Analysis
- Forecasting
- Treasury Systems
- Margin Disputes
- Trade Reconciliation
- Trade Booking
+17 more
Qualifications
- BS/BA in Finance or related field
About Graham Capital Management, L.P.
grahamcapital.comGraham Capital Management is an alternative investment manager that develops and runs hedge fund strategies across global liquid markets. The firm combines quantitative research and systematic models with discretionary macro and relative‑value trading to deliver risk‑managed exposure across rates, currencies, equities and commodities. It serves institutional and high‑net‑worth clients with diversified, liquidity‑focused strategies emphasizing capital preservation, diversification, and active risk management.
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