Sign up to access all features of our service.
  • Job search
  • Favorites
  • Create a CV
    New
  • Salaries
  • Subscriptions

Senior Treasury Analyst

$120k - $145k

Topstep

Summary

This newly created Senior Treasury Analyst position will play a key role in strengthening Topstep's treasury function and enhance visibility into cash, liquidity, and working capital across the organization. Reporting into the Senior Director of Financial Operations, this position will play a critical role in managing day-to-day treasury operations while developing robust cash forecasting, reporting and financial modeling capabilities to support executive decision-making. The Senior Treasury Analyst will have the opportunity to help build scalable treasury processes, strengthen internal controls, support banking and treasury system initiatives and establish best practices across the organization.


The ideal candidate combines a base level of treasury operations experience with strong analytical and financial modeling capabilities, preferably developed within a treasury, corporate finance, banking, consulting, public accounting, or financial advisory environment. This role offers significant exposure to senior leadership and opportunities to influence strategic decision-making within a fast-paced, high-growth proprietary trading organization.

Key Responsibilities

Cash Forecasting & Financial Modeling
  • Own the preparation and maintenance of the company's rolling 13-week cash flow forecast.
  • Develop dynamic financial models to forecast liquidity, operating cash flows, working capital, and strategic initiatives.
  • Perform variance analysis between forecasted and actual cash activity, identifying key drivers and trends.
  • Conduct scenario planning and sensitivity analyses to assess liquidity impacts from changes in business performance, trading activity, tax payments, and market conditions.
  • Prepare weekly cash flow reporting and executive-level liquidity presentations.
Core Treasury Operations
  • Manage daily cash positioning and liquidity reporting across all bank accounts and legal entities.
  • Monitor cash balances and funding requirements to ensure adequate liquidity for operational needs.
  • Initiate, review, and track wire transfers, ACH payments, and other treasury transactions.
  • Support bank account openings, closures, and periodic banking reviews.
  • Administer treasury controls, including payment approvals, fraud prevention tools, and segregation of duties.
  • Assist with implementation and optimization of banking products, treasury management systems, and cash management solutions.
  • Partner with Accounting to ensure timely bank reconciliations and resolution of outstanding cash-related items.
  • Support banking relationship management and fee analysis initiatives.
  • Assist with month-end and quarter-end treasury-related close activities.
  • Ensure compliance with treasury policies, internal controls, and banking requirements.
  • Help document and improve treasury processes, controls, and standard operating procedures.
Strategic Analysis & Business Partnership
  • Support FP&A, Accounting, and Tax teams with financial analysis and cash flow insights.
  • Develop ad hoc models and analyses to support executive decision-making, capital allocation, and strategic initiatives.
  • Participate in special projects including acquisitions, international expansion, banking initiatives, and process automation efforts.
  • Assist in evaluating treasury-related risks and opportunities across the organization.
Reporting & Process Improvement
  • Create and enhance treasury dashboards, KPIs, and management reporting.
  • Identify opportunities to automate reporting and improve forecasting accuracy.
  • Leverage technology and analytical tools to drive efficiencies within treasury operations.
Required Qualifications and Key Competencies

Education & Experience
  • Bachelor's degree in Finance, Accounting, Economics, or related field.
  • 3-6 years of experience in treasury, corporate finance, transaction advisory, valuation, investment banking, consulting, public accounting, or similar analytical roles.
  • Advanced financial modeling and Excel skills, including scenario analysis and forecasting.
  • Strong understanding of financial statements and cash flow dynamics.
  • Basic exposure to treasury management systems, banking platforms, and financial reporting tools.
  • Excellent analytical, problem-solving, and communication skills.
  • Ability to work independently in a fast-paced, deadline-driven environment.
Skills & Competencies
  • Financial modeling and forecasting.
  • Cash flow analysis.
  • Executive-level reporting and presentations.
  • Strategic and analytical thinking.
  • Attention to detail and accuracy.
  • Process improvement mindset.
  • Strong communication and stakeholder management skills.
  • Ability to translate complex financial information into actionable insights.
Company Culture & Perks
  • Topstep is an engaging working environment which ranges from fully remote to hybrid. We foster a culture of collaboration with cameras on during meetings and a robust Slack environment for communication.
  • Seven Company-paid Holidays and generous Family Leave. Paid time off is front-loaded.
  • Competitive 401(k) matching, health, dental, and vision insurance is offered for full time employees.
  • Vacations are encouraged with a bonus for taking 5 consecutive days. Employee referrals are bonused. Topstep offers a food and groceries budget and contributes towards health and wellness.
New Hire Base Salary Range
  • $120,000 - $145,000.
  • Bonus: This position is eligible for a performance-based bonus as provided by the plan terms and governing documents.
  • The compensation offered will take into account internal compensation structure and may vary depending on the candidate's geographic region, job-related knowledge, skills, and experience among other factors.

Equal Opportunity Employer

Topstep is an Equal Opportunity Employer. We are committed to fostering an inclusive environment where all employees and applicants are valued. All qualified candidates will receive consideration for employment without regard to race, color, religion, gender, gender identity or expression, sexual orientation, national origin, age, disability, or veteran status, in compliance with applicable federal, state, and local laws.

Interested in the role? Apply today with your resume!
Vacancy posted 1 day ago
Similar jobs that could be interesting for youBased on the Senior Treasury Analyst in Chicago, IL vacancy
  • $60 - $67 per hour

     ...Description The Treasury team is seeking a Treasury professional to support the firm's cash management, liquidity forecasting, and treasury reporting functions. This role is responsible for maintaining the accuracy of daily cash positions, supporting short-term cash... 
    Senior
    Contract work
    Temporary work

    Aston Carter

    Chicago, IL
    7 hours ago
  •  ...craftsmanship. Today, our financial landscape is just as dynamic-and we're looking for a treasury expert ready to make an impact on a global scale. As our Senior Treasury Analyst , you'll be at the heart of liquidity decisions that keep our worldwide operations moving... 
    Senior
    Temporary work
    Casual work
    Worldwide

    Wahl Clipper

    Chicago, IL
    3 days ago
  • Antares Capital LP. is seeking a Senior Analyst for their Treasury team in Chicago. This pivotal role involves managing liquidity aspects, including cash management, compliance modeling, and debt facilities management for CLOs. Candidates should possess a Bachelor’s degree... 
    Senior

    Antares Capital LP.

    Chicago, IL
    4 days ago
  • $54k - $103k

    Continental Casualty Company is seeking a Senior Financial Analyst to join their Investments & Treasury Division in Chicago. This role will involve managing a global short-term investment portfolio and performing cash forecasting for a $40+ billion investment portfolio.... 
    Senior
    Temporary work

    01460 Continental Casualty Company

    Chicago, IL
    3 days ago
  • $105k - $120k

    Antares Capital LP in Chicago is looking for a Senior Treasury Analyst to oversee cash management operations related to credit facilities and collateralized loan obligations (CLO). Responsibilities include managing structured facilities, building cash flow models, preparing... 
    Senior

    Antares Capital LP

    Chicago, IL
    4 days ago
  • Rival is seeking a Senior Treasury Analyst to support cash and liquidity management in a hybrid role. You will lead compliance with NFA and CFTC requirements while enhancing treasury operations. The ideal candidate will have a Bachelor’s degree and over 5 years of experience... 
    Senior
    Remote job

    Rival

    Chicago, IL
    4 days ago
  • $55k - $65k

    Real Chemistry is seeking a Senior Treasury Analyst to join their Treasury Team in Lambertville, NJ. This role focuses on cash and liquidity management, bank account management, and treasury operations. Candidates should have a Bachelor’s degree in finance or a related... 
    Senior

    Real Chemistry

    Chicago, IL
    1 day ago
  • $75k - $100k

     ...This is a high‑growth, high‑visibility business — and the Treasury function sits right at the center of it, safeguarding customer...  ...to the North America Treasurer / Head of Treasury, the Senior Treasury Analyst supports treasury‑related activities for the FCM and Nadex... 
    Senior
    Contract work
    Remote work

    Rival

    Chicago, IL
    4 days ago
  • $74k - $110k

    RWE Gruppe is seeking a Senior Analyst - Corporate Finance in Chicago, IL, to manage treasury operations and improve cash flow forecasting. The ideal candidate will have extensive experience in corporate finance, strong organization skills, and the ability to collaborate... 
    Senior

    RWE Gruppe

    Chicago, IL
    1 day ago
  • RWE AG is seeking a Senior Analyst in Corporate Finance to manage treasury operations across all Operating Businesses in the Americas. This full-time role involves cash and liquidity management, ensuring debt payments are made, and fostering relationships with banks. The... 
    Senior
    Full time

    RWE AG

    Chicago, IL
    2 days ago
  • $74k - $110k

    RWE is seeking a Senior Analyst in Corporate Finance based in Illinois. This full-time, permanent position focuses on cash and liquidity management, banking, and collateral management. The ideal candidate holds a Bachelor's degree in Finance or Accounting, has a minimum... 
    Senior
    Permanent employment
    Full time
    Work at office

    RWE

    Chicago, IL
    4 days ago
  • ULSE Inc. is seeking a Senior Investment & Treasury Analyst based in Evanston, Illinois. This role involves coordinating investment portfolio meetings, supporting performance monitoring processes, and contributing to treasury operations. The ideal candidate will possess... 
    Senior
    Flexible hours

    ULSE Inc.

    Evanston, IL
    4 days ago
  • $81.46k - $112k

    Job Description at UL Research Institutes and UL Standards & Engagement. We have an exciting opportunity for a Senior Investment & Treasury Analyst based in Evanston, Illinois. Responsibilities Coordinate outsourced investment portfolio meetings and prepare related reporting... 
    Senior
    Work experience placement
    Local area
    Flexible hours

    ULSE Inc.

    Evanston, IL
    4 days ago
  • The American Public Transit Association is looking for a Principal Analyst, Treasury to oversee investment portfolios and Agency finances. This vital role involves financial oversight and reporting, managing debt issuance, and informing funding distributions to the Chicago... 

    American Public Transit Association

    Chicago, IL
    4 days ago
  •  ...Reporting to the Treasury Manager/Corporate Treasurer, the Treasury Analyst will support CoinFlip in managing global banking relationships and treasury administration, including liquidity management, risk assessment, and timely accounting and reconciliation of all transactions... 
    Full time

    CoinFlip Canada Inc.

    Chicago, IL
    5 days ago
  • $65k - $75k

     ...we move in to. JOB SUMMARY Cresco Labs is seeking a Treasury Analyst to join our corporate finance team in Chicago, IL. This entry...  ...operations within a dynamic, fast-growing company. Reporting to the Senior Manager, Treasury, the Treasury Analyst will assist with day-... 
    Permanent employment
    Full time
    Part time
    Internship
    Local area

    Cresco Labs

    Chicago, IL
    3 days ago
  • $65k - $80k

     ...Treasury Analyst At Real Chemistry, making the world a healthier place isn't just an aspiration—it's our everyday reality. Our drive to transform healthcare is informed by our blend of deep scientific expertise, human-centred creativity, and AI-driven insights, fostering... 
    Temporary work
    Work experience placement
    Work at office
    Local area
    Remote work
    Worldwide
    2 days per week

    Real Chemistry

    Chicago, IL
    3 days ago
  •  ...Job Purpose: Treasury Analyst will be responsible for analyzing and managing daily bank balances and liquidity across operating, investment, and statutory accounts, ensuring effective cash flow management, accurate accounting and reporting, and efficient execution... 
    Temporary work

    VIVA

    Chicago, IL
    4 days ago
  • $64.92k - $95.02k

     ...salaries and benefits. We are currently seeking an experienced Treasury Analyst. The position's responsibilities will encompass, but not be...  ...loan notes and interest Prepare and present reports for senior management Prepare schedules and support internal and... 
    Hourly pay
    Work at office
    Local area
    Remote work
    Work from home
    Worldwide
    Flexible hours

    Sargent & Lundy

    Chicago, IL
    6 days ago
  • $80k - $90k

     ...Why This Role Matters Every dollar flowing through the business passes through Treasury and getting it right keeps the company operating smoothly, paying employees on time, and making smart financial decisions. In this role, you'll own the accuracy of cash data and... 
    Temporary work
    Work experience placement
    Work at office
    Flexible hours

    EDP

    Chicago, IL
    3 days ago
  • The Regional Transportation Authority of Northeastern Illinois (RTA) is hiring a Principal Analyst for their Treasury division. This role involves monitoring and analyzing investment and liability portfolios, conducting reports, and managing financial processes. Candidates... 

    Regional Transportation Authority of Northeastern Illinois (...

    Chicago, IL
    3 days ago
  • Cresco Labs is looking for a Treasury Analyst to join their corporate finance team in Chicago, IL. This entry-level position offers hands-on experience in treasury operations and cash management. Ideal candidates are highly organized and detail-oriented. The role involves... 

    Renew Cannabis Co.

    Chicago, IL
    20 hours ago
  • AgHires is seeking a Financial Analyst for its Treasury team in Chicago, IL. This full-time position offers an opportunity to engage in direct cash forecasting and foreign exchange market analysis. The successful candidate will collaborate with global Treasury and Finance... 
    Full time

    AgHires

    Chicago, IL
    4 days ago
  • $114.7k - $194.9k

     ...reconciliation, and collaboration with shared services teams. Candidates should have 3-5 years of relevant experience and familiarity with Treasury functions. The role offers a competitive salary range of $114,700 - $194,900 along with comprehensive benefits. #J-18808-Ljbffr 0... 

    001 The Northern Trust Company

    Chicago, IL
    1 day ago
  • $80k - $90k

    EDP in Chicago is looking for a Cash Accountant to manage cash data accuracy and transform it into valuable insights for leadership. You will handle bank reconciliations, cash reporting, and support month-end activities. The ideal candidate should have 2-5 years of experience...

    EDP

    Chicago, IL
    4 days ago
  • $63k - $96k

    KeyBank is seeking a Treasury Analyst to support liquidity stress testing and monitor regulatory compliance. This role involves conducting analyses, preparing liquidity metrics, and collaborating with various teams to ensure sound governance of liquidity-related risks.... 

    KeyBank

    Chicago, IL
    1 day ago
  • A leading professional services provider in Chicago is seeking a Treasury Analyst to manage cash flow, bank transactions, and provide financial analysis. The ideal candidate holds a Bachelor's degree in accounting or finance and has 2 - 4 years of experience in treasury... 

    Sargent & Lundy

    Chicago, IL
    1 day ago
  • $63k - $96k

    Location: 127 Public Square, Cleveland Ohio Job Summary: The Treasury Analyst will support the Director of Liquidity and Liquidity team in Corporate Treasury to execute the liquidity stress testing, risk identification, liquidity metrics monitoring, and reporting activities... 
    Work experience placement
    Work at office
    Flexible hours

    Key Bank

    Chicago, IL
    4 days ago
  • $80k - $90k

     ...is seeking a Cash Accountant. The role involves ensuring the accuracy of cash data, handling bank reconciliations, and supporting treasury operations. Candidates should have 2-5 years of relevant experience, familiarity with journal entries, and ERP systems. This position... 

    Energy Distribution Partners

    Chicago, IL
    4 days ago
  • Cresco Labs Inc. is seeking a Treasury Analyst to join our finance team in Chicago, IL. This entry-level position offers hands-on experience in treasury operations. Responsibilities include cash management, banking relationship support, and reporting. The ideal candidate... 

    Cresco Labs Inc.

    Chicago, IL
    5 days ago

Do you want to receive more vacancies?

Subscribe and receive similar vacancies to Senior Treasury Analyst. Be the first to apply!