Treasury Finance Ai And Quantitative Analytics Specialist jobs in New York – Browse 4,782 openings on RoboApply Jobs
Treasury Finance Ai And Quantitative Analytics Specialist jobs in New York
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Treasury Finance AI and Quantitative Analytics Specialist
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Experience Level
Experience
Qualifications
Proven experience in quantitative finance or analytics. Strong proficiency in programming languages such as Python or R. Experience with financial modeling and data analysis. Excellent analytical and problem-solving skills. Ability to work collaboratively in a fast-paced environment. Master's degree in Finance, Data Science, or a related field preferred.
About the job
Stripe is hiring a Treasury Finance AI and Quantitative Analytics Specialist in New York. This role focuses on improving treasury operations through artificial intelligence and quantitative analysis. The position works closely with a collaborative team to refine financial strategies and support Stripe’s treasury activities.
What You Will Do
Apply AI models and quantitative methods to analyze treasury data
Develop and use advanced algorithms to support financial decision-making
Help optimize financial strategies and offerings for Stripe’s treasury function
Collaborate with team members to drive improvements in treasury operations
About Stripe, Inc.
Stripe, Inc. is a leading technology company that builds economic infrastructure for the internet. Businesses of all sizes use our software to accept payments, send payouts, and manage their businesses online. We are committed to making financial transactions accessible to everyone and continually strive to innovate and simplify the financial landscape.
Role Overview Stripe is hiring a Treasury Finance AI and Quantitative Analytics Specialist in New York. This role focuses on improving treasury operations through artificial intelligence and quantitative analysis. The position works closely with a collaborative team to refine financial strategies and support Stripe’s treasury activities. What You Will Do Apply AI models and quantitative methods to analyze treasury data Develop and use advanced algorithms to support financial decision-making Help optimize financial strategies and offerings for Stripe’s treasury function Collaborate with team members to drive improvements in treasury operations
Full-time|$200K/yr - $225K/yr|On-site|New York, New York, United States
About UsAt DriveWealth, we are committed to simplifying the investment process for everyone. Our vision is to empower individuals to take charge of their financial futures, breaking down the barriers of geography, wealth, and outdated systems. As a global B2B financial technology firm, we strive to democratize access to financial independence worldwide. Through our advanced API-driven platform, we enable partners to deliver seamless investment and trading experiences directly to their clients' mobile devices. Our cutting-edge technology equips partners with a versatile toolkit that supports both traditional investment workflows and innovative approaches, such as fractional share ownership. Today, DriveWealth stands as a leading global platform facilitating the trading of US equities, mutual funds, ETFs, fixed income, and options.Now is an exciting time to join a pioneering business that is redefining the investment landscape. Our culture combines the agility of a fintech startup with the impact and stability reminiscent of Wall Street. We promote a spirit of creativity and innovation while ensuring top-tier execution and adherence to regulatory standards in all our operations. Join us on this journey to shape the future of global investing!About the RoleWe are looking for a dynamic Treasury Specialist with over 5 years of experience to join our fast-paced financial environment. This is a unique opportunity for a proactive individual to go beyond routine tasks and play an instrumental role in enhancing our liquidity and capital frameworks. You will gain insights into how a broker-dealer expands its treasury operations amid rapid product diversification. Your contributions will be pivotal in managing the funding lifecycle across various asset classes—including equities, options, and cryptocurrencies—while directly influencing the firm's approach to growth and complexity.What You’ll DoLiquidity Planning: Develop and enhance models for forecasting liquidity and capital needs as the business ventures into new markets and products.Monitoring: Oversee existing liquidity and capital requirements, including clearing necessities, ensuring optimal buffers during peak activity.Funding Integration: Assist in constructing the treasury infrastructure while managing the flow of funds and collateral across Equities, Options, Margin accounts, digital assets, and stablecoin initiatives.Project Leadership: Take ownership of independent projects that drive treasury initiatives forward.
Join ConcourseAt Concourse, we are revolutionizing corporate finance by building advanced AI agents designed for finance teams. Our innovative solutions connect critical enterprise data sources, empowering teams to analyze data through natural language, gain insights in seconds, and make informed decisions. Since our inception less than a year ago, we have experienced rapid growth, with our AI agents already in use by hundreds of high-growth companies, including unicorn startups like Persona, Front, Lightmatter, and major public companies, including two Fortune 500 clients. Supported by prominent investors such as Andreessen Horowitz, CRV, YC, and BoxGroup, along with over 50 angel investors from notable firms including Brex, Rippling, Flywire, Deel, Jeeves, and DoorDash, we are poised for continued success.About the PositionWe are seeking an AI Deployment Specialist who possesses a strong combination of finance knowledge, product insight, and technical proficiency. Your mission will be to amplify the impact of our AI agents across all finance teams we support. You will engage directly with clients to understand their workflows, design compelling product experiences to drive adoption, and create systems that integrate Concourse into their financial operations seamlessly. In this role, you will collaborate closely with our founders and engineering teams, remaining hands-on with SQL, integrations, and debugging, while strategically identifying avenues to deliver customer value at scale. Your contributions will be pivotal in expanding our client base and shaping the future interaction between finance teams and AI agents.This high-impact position is ideal for someone with deep financial expertise, a passion for solving technical challenges, and a drive to enhance product, data, and customer outcomes.Key ResponsibilitiesEnhance AI & Prompt Performance: Maintain prompt libraries, fine-tune model configurations, and ensure optimal outputs for financial applications.Address Technical & Data Challenges: Troubleshoot AI outputs, integration challenges, and data discrepancies through direct engagement with SQL, API exploration, and team collaboration.Develop Analytics & Insights: Generate dashboards and analytics to uncover customer behavior, product usage patterns, and potential revenue growth opportunities.Shape GTM Strategy: Analyze customer data to refine positioning, messaging, onboarding strategies, and growth initiatives.Create High-Impact Customer Experiences: Enhance onboarding, training, and lifecycle journeys to help finance teams realize value quickly and evolve into long-term advocates.
Full-time|On-site|Chicago, IL; Lake Mary, FL; New York, NY
The Treasury Operations Specialist at Robinhood supports daily financial operations by managing cash flow and treasury activities. This position helps ensure that funds move efficiently and processes run smoothly across the organization. Key responsibilities Oversee cash management tasks and support treasury operations Work closely with other teams to improve workflows and increase operational efficiency Collaboration This role involves frequent coordination with colleagues in different departments to address issues, share information, and implement process improvements. Locations Positions are available in Chicago, IL; Lake Mary, FL; and New York, NY.
Full-time|$185K/yr - $200K/yr|On-site|New York, New York, United States; San Francisco, California, United States
Lightning AI builds the platform behind PyTorch Lightning, helping teams move AI from research to production. Since 2019, the company has supported individual researchers, startups, and large enterprises with tools for experimentation, training, and production inference. After merging with Voltage Park, Lightning AI combines developer-focused software with large-scale computing resources. Offices are located in New York City, San Francisco, Seattle, and London. Role overview The Treasury Lead will own and expand core treasury accounting, reporting, and control processes as Lightning AI grows. This position manages a range of treasury activities, including financing arrangements, capital investments, vendor obligations, cash management, hedging, and financial reporting. The role involves close coordination with teams across Finance, Accounting, Legal, Tax, Infrastructure Operations, Accounts Payable, and with external auditors. What you will do Lead and scale treasury processes to support company growth Facilitate activities related to financing, investments, vendor payments, and cash management Support financial reporting and maintain strong internal controls Collaborate with internal teams and external auditors to ensure accurate reporting and scalable operations Assist in evaluating complex financing structures and support accounting decisions Maintain documentation for treasury and accounting activities Requirements Strong technical accounting background Operational experience in treasury or related finance roles Ability to work cross-functionally with multiple teams Experience supporting accounting conclusions and documentation This Treasury Lead role is based in New York or San Francisco.
Join Our Growing Team at BasisAt Basis, we are transforming how accounting and financial workflows are executed. Our innovative agents perform complex, end-to-end tasks for some of the world's largest accounting firms, and we are on a mission to revolutionize the finance industry.We are thrilled to announce our recent funding of $100 million, valuing us at over $1 billion. With this support, we are poised to deploy cutting-edge machine learning technologies at a large scale.As a Founding Finance Specialist, you will be pivotal in establishing our internal finance operations to align with our rapid growth. You will oversee the entire spectrum of finance functions, including finance operations (such as procurement and treasury management) and strategic finance (such as forecasting and board materials).If you're a proactive builder, eager to create and implement new systems and processes, we want to hear from you! Please submit your resume, evidence of exceptional skills, and a reference to support your application.
Full-time|On-site|New York, New York, United States
Role overview The Treasury Manager at Oscar Health plays a key part in managing the company’s financial assets and liquidity. Based in New York, this position helps ensure the organization can deliver on its mission to provide affordable healthcare solutions. Collaboration with teams across the business is central to optimizing cash flow and supporting risk management. What you will do Manage daily financial assets and liquidity to maintain stability and flexibility Partner with cross-functional groups to streamline and improve cash flow processes Contribute to risk management activities related to treasury operations
Full-time|$300K/yr - $350K/yr|On-site|New York, NY
Join Point72's Technology Team as we redefine the landscape of investment through innovative technology solutions. Our team is dedicated to enhancing our IT infrastructure and engineering capabilities, ensuring we remain at the forefront of the rapidly changing tech environment. We are a collective of specialists, continuously exploring and implementing open-source solutions, advanced cloud architectures, and cutting-edge Artificial Intelligence (AI) technologies while employing agile methodologies.As part of our Technology Team, you will receive unwavering support for your professional growth from day one. We are committed to helping you refine your technical expertise, foster innovative ideas, and satisfy your intellectual curiosity, all while making a tangible impact on our multi-billion-dollar global enterprise.Key Responsibilities:• Design and develop pre-trade pricing and analytics tools tailored for investment professionals, specifically for Rates and FX products.• Implement real-time pricing engines and historical pricing frameworks utilizing market and trading data.• Create analytics for historical curve construction, curve evolution, and relative value analysis.• Design and maintain extensive macro datasets for trading analytics, ensuring consistency and performance across workflows.• Develop scenario analysis frameworks to enable investment professionals to define market shocks and evaluate pricing and PnL impacts.• Integrate pricing, scenario, and backtesting analytics into research and trading workflows.• Build scalable data pipelines for the ingestion, normalization, storage, and retrieval of historical market data.• Collaborate with investment professionals to translate trading concepts into quantitative analytics and tools.• Contribute to the firm’s core analytics libraries and data architecture, focusing on robustness, performance, and extensibility across asset classes.
Full-time|$130K/yr - $200K/yr|On-site|New York, New York, United States
Join our dynamic Volatility team at Trexquant as a highly skilled Quantitative Researcher. This crucial role involves collaborating closely with the Head of Volatility to expand our research group's capabilities, focusing on the development of specialized volatility tools and the exploration of trading signals and strategies within the volatility markets. The ideal candidate will possess a strong background in volatility modeling, statistical analysis, and a comprehensive understanding of market dynamics.Key Responsibilities:Develop and maintain proprietary pricing and analytics tools tailored for volatility research.Calibrate implied volatility surfaces across a range of options including single stock, index, and ETF options, while working with developers to implement models into backtesting and live trading systems.Design, implement, and enhance trading strategies aimed at predicting volatility market trends using extensive financial datasets and diverse trading signals.Analyze large datasets to uncover actionable alpha signals and devise effective volatility trading strategies.Investigate and leverage innovative academic research in quantitative finance to evaluate, enhance, and maximize the profitability of trading strategies.Continuously refine existing models by incorporating new data sources and advanced methodologies to improve performance and scalability.Collaborate with a team of seasoned quantitative researchers to conduct experiments, backtest hypotheses, and fine-tune strategies through comprehensive simulations and data analysis.
Temporary|$60/hr - $70/hr|Remote|New York - Remote
At Angi®, we have a straightforward mission that has guided us for 30 years: to ensure jobs are completed to the highest standard. We achieve this by connecting homeowners with trustworthy professionals who possess the necessary skills, while also linking pros with homeowners seeking their expertise.Angi Overview:Homeowners have relied on Angi for over 300 million successful projects.We cover more than 1,000 home service tasks.Our global team consists of 2,800 dedicated employees.Why Join Angi:At Angi®, we are shaping the future of the home services sector by fostering an environment where homeowners, professionals, and employees all benefit from a higher volume of quality work. Our platform offers homeowners a dependable way to find skilled professionals. For service providers, we serve as a reliable partner, helping them discover rewarding job opportunities. For our employees, we’re a fantastic workplace that they can truly call home. We look forward to having you join our team!Role Overview:This position reports directly to the SVP Finance – Head of Treasury, IR & FP&A.Angi is on the lookout for a Temporary Treasury Manager to oversee our daily treasury operations and manage global liquidity. This role will also focus on enhancing workflows and utilizing advanced tools, including AI, to drive efficiency and insights within the treasury function.The Treasury Manager will be responsible for managing cash positioning, banking infrastructure, and treasury operations across both domestic and international entities. The role demands operational execution and astute judgment in analyzing liquidity data, managing funding flows, and identifying potential risks.As the operational lead in treasury, you will collaborate closely with Accounting, Finance Systems, and international finance teams, supporting the broader treasury strategy under the leadership of the SVP Finance.This role requires candidates to commit up to 40 hours per week, with an hourly pay rate between $60 and $70.
Full-time|$115K/yr - $168K/yr|On-site|New York, NY/ Sunnyvale, CA / Dallas, TX
Join CoreWeave, the leading cloud provider for AI innovation. As a Manager of Treasury Accounting, you will be instrumental in overseeing the financial processes associated with our treasury activities. Your primary responsibilities will include ensuring accurate accounting and reporting, particularly focusing on OEM and vendor financing arrangements that empower our capital-intensive infrastructure growth. You will also play a key role in managing our hedging programs and derivative accounting activities. You will collaborate closely with departments such as Treasury, Legal, Tax, Fixed Assets, Corporate Accounting, Accounts Payable, and external auditors to uphold stringent U.S. GAAP standards and SEC compliance, ensuring a robust internal control environment across our complex financing structures.Key ResponsibilitiesAs the Manager of Treasury Accounting, you will lead the accounting and financial reporting for OEM and vendor financing arrangements. You will oversee the end-to-end accounting lifecycle for these transactions, from initial evaluation and classification to ongoing operational accounting and reporting. This role reports directly to senior leadership within the Chief Accounting Officer's organization.
Full-time|$144.5K/yr - $230K/yr|Hybrid|Atlanta; Boston; Charlotte; Chicago; Dallas; Los Angeles; New York; San Francisco
Accordion’s AI Data Specialist role sits within the Data & Analytics team, supporting private equity clients and their portfolio companies across sectors such as Retail, Consumer Packaged Goods, Healthcare, Media & Entertainment, Technology, and Logistics. This position is based in any of Accordion’s U.S. offices, including Atlanta, Boston, Charlotte, Chicago, Dallas, Los Angeles, New York, or San Francisco, and follows a hybrid work model with up to two remote days per week. Candidates should reside near their selected office. Immigration sponsorship is not available. Role overview The AI Data Specialist works as part of an AI-enhanced delivery team, collaborating with AI engineers, data scientists, and product managers. The team’s mission is to transform financial operations for companies backed by private equity. The Data Specialist ensures that data is integrated, navigates complex data environments, and helps make information actionable to support client financial operations. Collaboration and focus This role involves close work with the Accordion Intelligence Lab, a group of software and AI engineers dedicated to advancing agentic-AI technologies. The Lab develops and maintains AI systems that underpin Accordion’s consulting work, including agentic architectures and production observability frameworks. AI Data Specialists contribute to building scalable, reliable tools that directly impact private equity clients and their portfolio companies. About the team The Data & Analytics group at Accordion brings together industry knowledge, advanced technology, and analytical skills to solve complex business problems. Team members deliver intelligent solutions and work in a collaborative, supportive environment alongside more than 1,400 finance and technology professionals.
Vola Dynamics stands at the forefront of software innovation and research in advanced options analytics. Our renowned volatility fitting tools and high-speed option pricing engines set the benchmark for industry standards, empowering leading hedge funds, proprietary trading firms, market makers, and global banks to make informed decisions.As a Quantitative Researcher, you will delve into pioneering challenges in volatility modeling and options valuation, covering both vanilla and exotic options across diverse asset classes. You will implement your innovative solutions using a state-of-the-art C++ and Python library relied upon by the most elite market participants. Joining a rapidly expanding team, your contributions will yield immediate and significant impacts.This role represents one of the most exhilarating opportunities in the field of quantitative finance today.
About Our Team:Join a dynamic and highly respected quantitative portfolio management team at Point72, dedicated to innovation in the intraday to mid-frequency systematic macro domain. As a vital member of our team, you will receive unparalleled resources and support to expand and enhance our quantitative macro business.Your Role:Conduct in-depth and pioneering research to create systematic signals for global macro markets, including futures and foreign exchange (FX).Analyze price-volume and alternative datasets over intraday to multi-day timeframes (up to 2-3 weeks) within the mid-frequency realm.Engage in the complete research lifecycle, from signal ideation and data processing to modeling, strategy backtesting, and live implementation.Collaborate with a team of top-tier professionals equipped with state-of-the-art research and trading infrastructures, alongside access to pristine datasets.Key Responsibilities:Create and refine systematic trading models across diverse global futures (equity indices, commodities, and fixed income) and/or FX markets.Generate alpha ideas, oversee backtesting, and facilitate implementation.Assess new datasets for potential alpha generation.Enhance portfolio optimization, asset allocation, and risk management frameworks.Contribute to the growth of the team's investment processes and research capabilities.Support the development and ongoing improvement of production and trading environments.Qualifications:Master's or PhD in physics, engineering, statistics, applied mathematics, quantitative finance, or related quantitative disciplines, with a robust statistical foundation.4+ years of experience in signal research or portfolio management focused on futures markets and/or FX, showcasing a successful track record within a proprietary trading setting.Prior experience in signal combination, portfolio optimization, and risk management is essential.Expertise in programming languages such as Python, R, or C/C++, with familiarity in data science tools like scikit-learn and Pandas.A collaborative spirit paired with strong independent research capabilities.Dedication to maintaining the highest ethical standards in all endeavors.
Temporary|$70/hr - $80/hr|Remote|New York - Remote
At Angi®, we have been dedicated to one clear mission for over three decades: to ensure that jobs are completed to the highest standards. We achieve this by seamlessly connecting homeowners with dependable professionals equipped with the necessary skills, while also linking skilled pros with homeowners seeking their services.Angi Overview:Homeowners have utilized Angi for more than 300 million projects.We cover over 1,000 types of home service tasks.Our global team comprises 2,800 talented employees.Why Choose Angi:At Angi®, we are reshaping the landscape of the home services industry, fostering an ecosystem where homeowners, professionals, and employees can thrive through well-executed projects. For homeowners, we provide a trustworthy platform to find adept professionals. For service providers, we serve as a reliable partner, helping them secure the work they desire. For our employees, we offer an incredible workplace environment. We eagerly anticipate welcoming you to our team.About the Role:This position reports directly to the SVP of Finance, overseeing Treasury, Investor Relations, and Financial Planning & Analysis. We are currently seeking a Temporary Senior Manager of Treasury Operations to spearhead the management of our treasury operations and global liquidity. This role will also focus on workflow enhancements and the integration of advanced tools, including artificial intelligence, to boost efficiency and insights within the treasury function.You will be responsible for managing cash positions, banking frameworks, and treasury operations across both domestic and international domains. This role demands both practical execution and sound judgment in interpreting liquidity data, managing funding flows, and recognizing potential risks.As the operational leader for treasury, you will closely collaborate with Accounting, Finance Systems, and international finance teams, while also supporting the broader treasury strategy led by the SVP of Finance.This role will require candidates to commit up to 40 hours per week, with an hourly compensation rate ranging between $70 and $80.Your Responsibilities:Global Liquidity ManagementOversee the company's daily global cash position across domestic and international entities.Execute daily cash positioning and funding activities.Manage liquidity across operational accounts, investment accounts, and processor balances.Maintain adequate liquidity buffers to support operational needs.
Full-time|$144K/yr - $180K/yr|On-site|New York, NY, United States
At Ripple, we are pioneering a future where value transfers seamlessly, akin to how information flows today. Our innovative crypto solutions for financial institutions, enterprises, governments, and developers are enhancing the global financial landscape, fostering economic equity, and creating opportunities for individuals worldwide. Join a dynamic team where you can excel professionally and grow alongside supportive colleagues.If you are eager to witness your contributions make a tangible impact while unlocking exceptional career advancement, we invite you to join us and help create real-world value.The Role:As our Treasury team expands globally, we are seeking a detail-oriented, organized, and analytical Treasury Manager. In this role, you will oversee daily cash and product operations and contribute to all international processes. Collaborating closely with cross-functional team members and Ripple’s partners, you will play a key role in enhancing our company’s financial infrastructure.Your Responsibilities:Prepare, evaluate, and execute cash flow transactions (including payroll, taxes, bank fees, and treasury payments).Oversee entity funding (approvals/callbacks), capital calls, loans, grants, and intercompany funding/settlement management.Maintain vigilant oversight of cash operations, including daily cash management, bank account reconciliation, and account setups.Assist with internal and external audit support, coordinate FBAR compliance, and oversee restricted account/LOC monitoring.Support in preparing and analyzing cash positions, facilitating digital asset fundings, and ensuring liquidity for wallet and funding obligations.Execute Stablecoin (RLUSD) Treasury operations, OTC trading support, RPD and Treasury operations.Manage accounts payable and corporate payments utilizing crypto assets.Oversee global account and exchange management, including account openings/closures, KYC procedures, signatory updates, FBAR reporting, user access management, and other account-related tasks.Review bank fees and yields, manage relationships (QBRs), and process Letters of Credit (LOC) in collaboration with our banking partners.Administer user access for bank portals and TMS (GTreasury and Trovata); troubleshoot issues via JIRA.Coordinate daily bank feed reviews, API/PIX credentials management, and maintain the centralized bank data file.Support GTreasury implementation and other AI, JIRA, and automation initiatives.
Full-time|$120K/yr - $150K/yr|On-site|New York, New York, United States
Join our dynamic Futures team as a Quantitative Researcher and leverage your skills in financial modeling and statistical analysis to develop innovative trading models. In this pivotal role, you will engage in research and model development focused on trading and risk management in the futures markets. We are looking for a proactive candidate with a strong grasp of market dynamics and a passion for data-driven decision-making.Key Responsibilities Create, implement, and enhance trading strategies to forecast trends in the futures market using comprehensive financial data and diverse trading signals. Analyze extensive datasets to uncover actionable alpha signals and formulate effective futures trading strategies. Research and apply leading academic insights in quantitative finance to evaluate and optimize the profitability of trading strategies. Drive continuous innovation by integrating new data sources and advanced methodologies to enhance model performance and scalability. Collaborate with a team of skilled quantitative researchers to conduct experiments, backtest theories, and refine strategies through thorough simulations and analytical rigor. Qualifications BS, MS, or PhD in a STEM discipline. A minimum of 2 years of experience in quantitative research, particularly in futures markets. A strong enthusiasm for machine learning and its applications in finance. Expertise in programming languages such as Python and proficiency in statistical modeling techniques. Excellent analytical and problem-solving capabilities. Effective collaboration skills, with the ability to work independently as well as in a team setting.
About Our Team:Join a dynamic and highly-regarded quantitative portfolio management team at Point72, where we are seeking a seasoned quantitative researcher to innovate and implement systematic macro strategies with a keen focus on market microstructure. You will be empowered with extensive resources and support to facilitate the growth and expansion of our quantitative macro business.Key Responsibilities:Conduct thorough and groundbreaking research to create systematic signals for global macro markets, including futures and FX, emphasizing market microstructure.Engage in feature engineering using order book tick data across intraday to daily timeframes.Utilize a variety of modeling techniques, from linear models to machine learning, for effective feature combination.Involve yourself in the entire research pipeline, from generating signal ideas to data processing, modeling, strategy backtesting, and production implementation.Contribute to the enhancement of the investment processes and research capabilities of the team.Collaborate with a team of highly skilled and motivated professionals, benefiting from cutting-edge research and trading infrastructure, along with access to pristine datasets.Assist in the construction, upkeep, and ongoing improvement of production and trading environments.
Full-time|On-site|New York, New York, United States
Join Greenbacker Capital as a Treasury Analyst, where you will play a pivotal role in managing our financial assets and liabilities. This position involves analyzing cash flows, optimizing liquidity, and ensuring compliance with financial regulations. You will collaborate with various departments to enhance financial performance and support strategic initiatives.
MoonPay is seeking a highly skilled Treasury Manager to join our dynamic team in a hybrid work environment. As a Treasury Manager, you will play a crucial role in managing our financial assets, optimizing cash flow, and ensuring our liquidity needs are met efficiently. You will be responsible for developing strategies to mitigate financial risks while collaborating closely with various departments to drive our financial goals forward.
Role Overview Stripe is hiring a Treasury Finance AI and Quantitative Analytics Specialist in New York. This role focuses on improving treasury operations through artificial intelligence and quantitative analysis. The position works closely with a collaborative team to refine financial strategies and support Stripe’s treasury activities. What You Will Do Apply AI models and quantitative methods to analyze treasury data Develop and use advanced algorithms to support financial decision-making Help optimize financial strategies and offerings for Stripe’s treasury function Collaborate with team members to drive improvements in treasury operations
Full-time|$200K/yr - $225K/yr|On-site|New York, New York, United States
About UsAt DriveWealth, we are committed to simplifying the investment process for everyone. Our vision is to empower individuals to take charge of their financial futures, breaking down the barriers of geography, wealth, and outdated systems. As a global B2B financial technology firm, we strive to democratize access to financial independence worldwide. Through our advanced API-driven platform, we enable partners to deliver seamless investment and trading experiences directly to their clients' mobile devices. Our cutting-edge technology equips partners with a versatile toolkit that supports both traditional investment workflows and innovative approaches, such as fractional share ownership. Today, DriveWealth stands as a leading global platform facilitating the trading of US equities, mutual funds, ETFs, fixed income, and options.Now is an exciting time to join a pioneering business that is redefining the investment landscape. Our culture combines the agility of a fintech startup with the impact and stability reminiscent of Wall Street. We promote a spirit of creativity and innovation while ensuring top-tier execution and adherence to regulatory standards in all our operations. Join us on this journey to shape the future of global investing!About the RoleWe are looking for a dynamic Treasury Specialist with over 5 years of experience to join our fast-paced financial environment. This is a unique opportunity for a proactive individual to go beyond routine tasks and play an instrumental role in enhancing our liquidity and capital frameworks. You will gain insights into how a broker-dealer expands its treasury operations amid rapid product diversification. Your contributions will be pivotal in managing the funding lifecycle across various asset classes—including equities, options, and cryptocurrencies—while directly influencing the firm's approach to growth and complexity.What You’ll DoLiquidity Planning: Develop and enhance models for forecasting liquidity and capital needs as the business ventures into new markets and products.Monitoring: Oversee existing liquidity and capital requirements, including clearing necessities, ensuring optimal buffers during peak activity.Funding Integration: Assist in constructing the treasury infrastructure while managing the flow of funds and collateral across Equities, Options, Margin accounts, digital assets, and stablecoin initiatives.Project Leadership: Take ownership of independent projects that drive treasury initiatives forward.
Join ConcourseAt Concourse, we are revolutionizing corporate finance by building advanced AI agents designed for finance teams. Our innovative solutions connect critical enterprise data sources, empowering teams to analyze data through natural language, gain insights in seconds, and make informed decisions. Since our inception less than a year ago, we have experienced rapid growth, with our AI agents already in use by hundreds of high-growth companies, including unicorn startups like Persona, Front, Lightmatter, and major public companies, including two Fortune 500 clients. Supported by prominent investors such as Andreessen Horowitz, CRV, YC, and BoxGroup, along with over 50 angel investors from notable firms including Brex, Rippling, Flywire, Deel, Jeeves, and DoorDash, we are poised for continued success.About the PositionWe are seeking an AI Deployment Specialist who possesses a strong combination of finance knowledge, product insight, and technical proficiency. Your mission will be to amplify the impact of our AI agents across all finance teams we support. You will engage directly with clients to understand their workflows, design compelling product experiences to drive adoption, and create systems that integrate Concourse into their financial operations seamlessly. In this role, you will collaborate closely with our founders and engineering teams, remaining hands-on with SQL, integrations, and debugging, while strategically identifying avenues to deliver customer value at scale. Your contributions will be pivotal in expanding our client base and shaping the future interaction between finance teams and AI agents.This high-impact position is ideal for someone with deep financial expertise, a passion for solving technical challenges, and a drive to enhance product, data, and customer outcomes.Key ResponsibilitiesEnhance AI & Prompt Performance: Maintain prompt libraries, fine-tune model configurations, and ensure optimal outputs for financial applications.Address Technical & Data Challenges: Troubleshoot AI outputs, integration challenges, and data discrepancies through direct engagement with SQL, API exploration, and team collaboration.Develop Analytics & Insights: Generate dashboards and analytics to uncover customer behavior, product usage patterns, and potential revenue growth opportunities.Shape GTM Strategy: Analyze customer data to refine positioning, messaging, onboarding strategies, and growth initiatives.Create High-Impact Customer Experiences: Enhance onboarding, training, and lifecycle journeys to help finance teams realize value quickly and evolve into long-term advocates.
Full-time|On-site|Chicago, IL; Lake Mary, FL; New York, NY
The Treasury Operations Specialist at Robinhood supports daily financial operations by managing cash flow and treasury activities. This position helps ensure that funds move efficiently and processes run smoothly across the organization. Key responsibilities Oversee cash management tasks and support treasury operations Work closely with other teams to improve workflows and increase operational efficiency Collaboration This role involves frequent coordination with colleagues in different departments to address issues, share information, and implement process improvements. Locations Positions are available in Chicago, IL; Lake Mary, FL; and New York, NY.
Full-time|$185K/yr - $200K/yr|On-site|New York, New York, United States; San Francisco, California, United States
Lightning AI builds the platform behind PyTorch Lightning, helping teams move AI from research to production. Since 2019, the company has supported individual researchers, startups, and large enterprises with tools for experimentation, training, and production inference. After merging with Voltage Park, Lightning AI combines developer-focused software with large-scale computing resources. Offices are located in New York City, San Francisco, Seattle, and London. Role overview The Treasury Lead will own and expand core treasury accounting, reporting, and control processes as Lightning AI grows. This position manages a range of treasury activities, including financing arrangements, capital investments, vendor obligations, cash management, hedging, and financial reporting. The role involves close coordination with teams across Finance, Accounting, Legal, Tax, Infrastructure Operations, Accounts Payable, and with external auditors. What you will do Lead and scale treasury processes to support company growth Facilitate activities related to financing, investments, vendor payments, and cash management Support financial reporting and maintain strong internal controls Collaborate with internal teams and external auditors to ensure accurate reporting and scalable operations Assist in evaluating complex financing structures and support accounting decisions Maintain documentation for treasury and accounting activities Requirements Strong technical accounting background Operational experience in treasury or related finance roles Ability to work cross-functionally with multiple teams Experience supporting accounting conclusions and documentation This Treasury Lead role is based in New York or San Francisco.
Join Our Growing Team at BasisAt Basis, we are transforming how accounting and financial workflows are executed. Our innovative agents perform complex, end-to-end tasks for some of the world's largest accounting firms, and we are on a mission to revolutionize the finance industry.We are thrilled to announce our recent funding of $100 million, valuing us at over $1 billion. With this support, we are poised to deploy cutting-edge machine learning technologies at a large scale.As a Founding Finance Specialist, you will be pivotal in establishing our internal finance operations to align with our rapid growth. You will oversee the entire spectrum of finance functions, including finance operations (such as procurement and treasury management) and strategic finance (such as forecasting and board materials).If you're a proactive builder, eager to create and implement new systems and processes, we want to hear from you! Please submit your resume, evidence of exceptional skills, and a reference to support your application.
Full-time|On-site|New York, New York, United States
Role overview The Treasury Manager at Oscar Health plays a key part in managing the company’s financial assets and liquidity. Based in New York, this position helps ensure the organization can deliver on its mission to provide affordable healthcare solutions. Collaboration with teams across the business is central to optimizing cash flow and supporting risk management. What you will do Manage daily financial assets and liquidity to maintain stability and flexibility Partner with cross-functional groups to streamline and improve cash flow processes Contribute to risk management activities related to treasury operations
Full-time|$300K/yr - $350K/yr|On-site|New York, NY
Join Point72's Technology Team as we redefine the landscape of investment through innovative technology solutions. Our team is dedicated to enhancing our IT infrastructure and engineering capabilities, ensuring we remain at the forefront of the rapidly changing tech environment. We are a collective of specialists, continuously exploring and implementing open-source solutions, advanced cloud architectures, and cutting-edge Artificial Intelligence (AI) technologies while employing agile methodologies.As part of our Technology Team, you will receive unwavering support for your professional growth from day one. We are committed to helping you refine your technical expertise, foster innovative ideas, and satisfy your intellectual curiosity, all while making a tangible impact on our multi-billion-dollar global enterprise.Key Responsibilities:• Design and develop pre-trade pricing and analytics tools tailored for investment professionals, specifically for Rates and FX products.• Implement real-time pricing engines and historical pricing frameworks utilizing market and trading data.• Create analytics for historical curve construction, curve evolution, and relative value analysis.• Design and maintain extensive macro datasets for trading analytics, ensuring consistency and performance across workflows.• Develop scenario analysis frameworks to enable investment professionals to define market shocks and evaluate pricing and PnL impacts.• Integrate pricing, scenario, and backtesting analytics into research and trading workflows.• Build scalable data pipelines for the ingestion, normalization, storage, and retrieval of historical market data.• Collaborate with investment professionals to translate trading concepts into quantitative analytics and tools.• Contribute to the firm’s core analytics libraries and data architecture, focusing on robustness, performance, and extensibility across asset classes.
Full-time|$130K/yr - $200K/yr|On-site|New York, New York, United States
Join our dynamic Volatility team at Trexquant as a highly skilled Quantitative Researcher. This crucial role involves collaborating closely with the Head of Volatility to expand our research group's capabilities, focusing on the development of specialized volatility tools and the exploration of trading signals and strategies within the volatility markets. The ideal candidate will possess a strong background in volatility modeling, statistical analysis, and a comprehensive understanding of market dynamics.Key Responsibilities:Develop and maintain proprietary pricing and analytics tools tailored for volatility research.Calibrate implied volatility surfaces across a range of options including single stock, index, and ETF options, while working with developers to implement models into backtesting and live trading systems.Design, implement, and enhance trading strategies aimed at predicting volatility market trends using extensive financial datasets and diverse trading signals.Analyze large datasets to uncover actionable alpha signals and devise effective volatility trading strategies.Investigate and leverage innovative academic research in quantitative finance to evaluate, enhance, and maximize the profitability of trading strategies.Continuously refine existing models by incorporating new data sources and advanced methodologies to improve performance and scalability.Collaborate with a team of seasoned quantitative researchers to conduct experiments, backtest hypotheses, and fine-tune strategies through comprehensive simulations and data analysis.
Temporary|$60/hr - $70/hr|Remote|New York - Remote
At Angi®, we have a straightforward mission that has guided us for 30 years: to ensure jobs are completed to the highest standard. We achieve this by connecting homeowners with trustworthy professionals who possess the necessary skills, while also linking pros with homeowners seeking their expertise.Angi Overview:Homeowners have relied on Angi for over 300 million successful projects.We cover more than 1,000 home service tasks.Our global team consists of 2,800 dedicated employees.Why Join Angi:At Angi®, we are shaping the future of the home services sector by fostering an environment where homeowners, professionals, and employees all benefit from a higher volume of quality work. Our platform offers homeowners a dependable way to find skilled professionals. For service providers, we serve as a reliable partner, helping them discover rewarding job opportunities. For our employees, we’re a fantastic workplace that they can truly call home. We look forward to having you join our team!Role Overview:This position reports directly to the SVP Finance – Head of Treasury, IR & FP&A.Angi is on the lookout for a Temporary Treasury Manager to oversee our daily treasury operations and manage global liquidity. This role will also focus on enhancing workflows and utilizing advanced tools, including AI, to drive efficiency and insights within the treasury function.The Treasury Manager will be responsible for managing cash positioning, banking infrastructure, and treasury operations across both domestic and international entities. The role demands operational execution and astute judgment in analyzing liquidity data, managing funding flows, and identifying potential risks.As the operational lead in treasury, you will collaborate closely with Accounting, Finance Systems, and international finance teams, supporting the broader treasury strategy under the leadership of the SVP Finance.This role requires candidates to commit up to 40 hours per week, with an hourly pay rate between $60 and $70.
Full-time|$115K/yr - $168K/yr|On-site|New York, NY/ Sunnyvale, CA / Dallas, TX
Join CoreWeave, the leading cloud provider for AI innovation. As a Manager of Treasury Accounting, you will be instrumental in overseeing the financial processes associated with our treasury activities. Your primary responsibilities will include ensuring accurate accounting and reporting, particularly focusing on OEM and vendor financing arrangements that empower our capital-intensive infrastructure growth. You will also play a key role in managing our hedging programs and derivative accounting activities. You will collaborate closely with departments such as Treasury, Legal, Tax, Fixed Assets, Corporate Accounting, Accounts Payable, and external auditors to uphold stringent U.S. GAAP standards and SEC compliance, ensuring a robust internal control environment across our complex financing structures.Key ResponsibilitiesAs the Manager of Treasury Accounting, you will lead the accounting and financial reporting for OEM and vendor financing arrangements. You will oversee the end-to-end accounting lifecycle for these transactions, from initial evaluation and classification to ongoing operational accounting and reporting. This role reports directly to senior leadership within the Chief Accounting Officer's organization.
Full-time|$144.5K/yr - $230K/yr|Hybrid|Atlanta; Boston; Charlotte; Chicago; Dallas; Los Angeles; New York; San Francisco
Accordion’s AI Data Specialist role sits within the Data & Analytics team, supporting private equity clients and their portfolio companies across sectors such as Retail, Consumer Packaged Goods, Healthcare, Media & Entertainment, Technology, and Logistics. This position is based in any of Accordion’s U.S. offices, including Atlanta, Boston, Charlotte, Chicago, Dallas, Los Angeles, New York, or San Francisco, and follows a hybrid work model with up to two remote days per week. Candidates should reside near their selected office. Immigration sponsorship is not available. Role overview The AI Data Specialist works as part of an AI-enhanced delivery team, collaborating with AI engineers, data scientists, and product managers. The team’s mission is to transform financial operations for companies backed by private equity. The Data Specialist ensures that data is integrated, navigates complex data environments, and helps make information actionable to support client financial operations. Collaboration and focus This role involves close work with the Accordion Intelligence Lab, a group of software and AI engineers dedicated to advancing agentic-AI technologies. The Lab develops and maintains AI systems that underpin Accordion’s consulting work, including agentic architectures and production observability frameworks. AI Data Specialists contribute to building scalable, reliable tools that directly impact private equity clients and their portfolio companies. About the team The Data & Analytics group at Accordion brings together industry knowledge, advanced technology, and analytical skills to solve complex business problems. Team members deliver intelligent solutions and work in a collaborative, supportive environment alongside more than 1,400 finance and technology professionals.
Vola Dynamics stands at the forefront of software innovation and research in advanced options analytics. Our renowned volatility fitting tools and high-speed option pricing engines set the benchmark for industry standards, empowering leading hedge funds, proprietary trading firms, market makers, and global banks to make informed decisions.As a Quantitative Researcher, you will delve into pioneering challenges in volatility modeling and options valuation, covering both vanilla and exotic options across diverse asset classes. You will implement your innovative solutions using a state-of-the-art C++ and Python library relied upon by the most elite market participants. Joining a rapidly expanding team, your contributions will yield immediate and significant impacts.This role represents one of the most exhilarating opportunities in the field of quantitative finance today.
About Our Team:Join a dynamic and highly respected quantitative portfolio management team at Point72, dedicated to innovation in the intraday to mid-frequency systematic macro domain. As a vital member of our team, you will receive unparalleled resources and support to expand and enhance our quantitative macro business.Your Role:Conduct in-depth and pioneering research to create systematic signals for global macro markets, including futures and foreign exchange (FX).Analyze price-volume and alternative datasets over intraday to multi-day timeframes (up to 2-3 weeks) within the mid-frequency realm.Engage in the complete research lifecycle, from signal ideation and data processing to modeling, strategy backtesting, and live implementation.Collaborate with a team of top-tier professionals equipped with state-of-the-art research and trading infrastructures, alongside access to pristine datasets.Key Responsibilities:Create and refine systematic trading models across diverse global futures (equity indices, commodities, and fixed income) and/or FX markets.Generate alpha ideas, oversee backtesting, and facilitate implementation.Assess new datasets for potential alpha generation.Enhance portfolio optimization, asset allocation, and risk management frameworks.Contribute to the growth of the team's investment processes and research capabilities.Support the development and ongoing improvement of production and trading environments.Qualifications:Master's or PhD in physics, engineering, statistics, applied mathematics, quantitative finance, or related quantitative disciplines, with a robust statistical foundation.4+ years of experience in signal research or portfolio management focused on futures markets and/or FX, showcasing a successful track record within a proprietary trading setting.Prior experience in signal combination, portfolio optimization, and risk management is essential.Expertise in programming languages such as Python, R, or C/C++, with familiarity in data science tools like scikit-learn and Pandas.A collaborative spirit paired with strong independent research capabilities.Dedication to maintaining the highest ethical standards in all endeavors.
Temporary|$70/hr - $80/hr|Remote|New York - Remote
At Angi®, we have been dedicated to one clear mission for over three decades: to ensure that jobs are completed to the highest standards. We achieve this by seamlessly connecting homeowners with dependable professionals equipped with the necessary skills, while also linking skilled pros with homeowners seeking their services.Angi Overview:Homeowners have utilized Angi for more than 300 million projects.We cover over 1,000 types of home service tasks.Our global team comprises 2,800 talented employees.Why Choose Angi:At Angi®, we are reshaping the landscape of the home services industry, fostering an ecosystem where homeowners, professionals, and employees can thrive through well-executed projects. For homeowners, we provide a trustworthy platform to find adept professionals. For service providers, we serve as a reliable partner, helping them secure the work they desire. For our employees, we offer an incredible workplace environment. We eagerly anticipate welcoming you to our team.About the Role:This position reports directly to the SVP of Finance, overseeing Treasury, Investor Relations, and Financial Planning & Analysis. We are currently seeking a Temporary Senior Manager of Treasury Operations to spearhead the management of our treasury operations and global liquidity. This role will also focus on workflow enhancements and the integration of advanced tools, including artificial intelligence, to boost efficiency and insights within the treasury function.You will be responsible for managing cash positions, banking frameworks, and treasury operations across both domestic and international domains. This role demands both practical execution and sound judgment in interpreting liquidity data, managing funding flows, and recognizing potential risks.As the operational leader for treasury, you will closely collaborate with Accounting, Finance Systems, and international finance teams, while also supporting the broader treasury strategy led by the SVP of Finance.This role will require candidates to commit up to 40 hours per week, with an hourly compensation rate ranging between $70 and $80.Your Responsibilities:Global Liquidity ManagementOversee the company's daily global cash position across domestic and international entities.Execute daily cash positioning and funding activities.Manage liquidity across operational accounts, investment accounts, and processor balances.Maintain adequate liquidity buffers to support operational needs.
Full-time|$144K/yr - $180K/yr|On-site|New York, NY, United States
At Ripple, we are pioneering a future where value transfers seamlessly, akin to how information flows today. Our innovative crypto solutions for financial institutions, enterprises, governments, and developers are enhancing the global financial landscape, fostering economic equity, and creating opportunities for individuals worldwide. Join a dynamic team where you can excel professionally and grow alongside supportive colleagues.If you are eager to witness your contributions make a tangible impact while unlocking exceptional career advancement, we invite you to join us and help create real-world value.The Role:As our Treasury team expands globally, we are seeking a detail-oriented, organized, and analytical Treasury Manager. In this role, you will oversee daily cash and product operations and contribute to all international processes. Collaborating closely with cross-functional team members and Ripple’s partners, you will play a key role in enhancing our company’s financial infrastructure.Your Responsibilities:Prepare, evaluate, and execute cash flow transactions (including payroll, taxes, bank fees, and treasury payments).Oversee entity funding (approvals/callbacks), capital calls, loans, grants, and intercompany funding/settlement management.Maintain vigilant oversight of cash operations, including daily cash management, bank account reconciliation, and account setups.Assist with internal and external audit support, coordinate FBAR compliance, and oversee restricted account/LOC monitoring.Support in preparing and analyzing cash positions, facilitating digital asset fundings, and ensuring liquidity for wallet and funding obligations.Execute Stablecoin (RLUSD) Treasury operations, OTC trading support, RPD and Treasury operations.Manage accounts payable and corporate payments utilizing crypto assets.Oversee global account and exchange management, including account openings/closures, KYC procedures, signatory updates, FBAR reporting, user access management, and other account-related tasks.Review bank fees and yields, manage relationships (QBRs), and process Letters of Credit (LOC) in collaboration with our banking partners.Administer user access for bank portals and TMS (GTreasury and Trovata); troubleshoot issues via JIRA.Coordinate daily bank feed reviews, API/PIX credentials management, and maintain the centralized bank data file.Support GTreasury implementation and other AI, JIRA, and automation initiatives.
Full-time|$120K/yr - $150K/yr|On-site|New York, New York, United States
Join our dynamic Futures team as a Quantitative Researcher and leverage your skills in financial modeling and statistical analysis to develop innovative trading models. In this pivotal role, you will engage in research and model development focused on trading and risk management in the futures markets. We are looking for a proactive candidate with a strong grasp of market dynamics and a passion for data-driven decision-making.Key Responsibilities Create, implement, and enhance trading strategies to forecast trends in the futures market using comprehensive financial data and diverse trading signals. Analyze extensive datasets to uncover actionable alpha signals and formulate effective futures trading strategies. Research and apply leading academic insights in quantitative finance to evaluate and optimize the profitability of trading strategies. Drive continuous innovation by integrating new data sources and advanced methodologies to enhance model performance and scalability. Collaborate with a team of skilled quantitative researchers to conduct experiments, backtest theories, and refine strategies through thorough simulations and analytical rigor. Qualifications BS, MS, or PhD in a STEM discipline. A minimum of 2 years of experience in quantitative research, particularly in futures markets. A strong enthusiasm for machine learning and its applications in finance. Expertise in programming languages such as Python and proficiency in statistical modeling techniques. Excellent analytical and problem-solving capabilities. Effective collaboration skills, with the ability to work independently as well as in a team setting.
About Our Team:Join a dynamic and highly-regarded quantitative portfolio management team at Point72, where we are seeking a seasoned quantitative researcher to innovate and implement systematic macro strategies with a keen focus on market microstructure. You will be empowered with extensive resources and support to facilitate the growth and expansion of our quantitative macro business.Key Responsibilities:Conduct thorough and groundbreaking research to create systematic signals for global macro markets, including futures and FX, emphasizing market microstructure.Engage in feature engineering using order book tick data across intraday to daily timeframes.Utilize a variety of modeling techniques, from linear models to machine learning, for effective feature combination.Involve yourself in the entire research pipeline, from generating signal ideas to data processing, modeling, strategy backtesting, and production implementation.Contribute to the enhancement of the investment processes and research capabilities of the team.Collaborate with a team of highly skilled and motivated professionals, benefiting from cutting-edge research and trading infrastructure, along with access to pristine datasets.Assist in the construction, upkeep, and ongoing improvement of production and trading environments.
Full-time|On-site|New York, New York, United States
Join Greenbacker Capital as a Treasury Analyst, where you will play a pivotal role in managing our financial assets and liabilities. This position involves analyzing cash flows, optimizing liquidity, and ensuring compliance with financial regulations. You will collaborate with various departments to enhance financial performance and support strategic initiatives.
MoonPay is seeking a highly skilled Treasury Manager to join our dynamic team in a hybrid work environment. As a Treasury Manager, you will play a crucial role in managing our financial assets, optimizing cash flow, and ensuring our liquidity needs are met efficiently. You will be responsible for developing strategies to mitigate financial risks while collaborating closely with various departments to drive our financial goals forward.
Mar 24, 2026
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