About the Role
The Global Treasury Team is expanding the Portfolio Finance function. This role will manage the daily financing of the firm, optimize financing across a multi-asset book, and manage counterparty relationships. The position involves interaction with global teams and all levels of the organization.
Responsibilities
- Own and manage US financing portfolios, borrow rates, sourcing of locates and refinancing of the firm’s equity and credit portfolios
- Optimize the financing activities of the firm across asset classes
- Negotiate and own general financing and margin terms with key counterparties
- Partner closely with technology teams to build reporting and tooling for financing decisions and function scaling
- Assist US, Europe, Asia Pacific, and Group Treasurers in cash and collateral management
- Deal in foreign exchange and other money market instruments
- Provide regional trade team analysis regarding PnL and cost allocations
- Work closely with Risk and other Back Office functions in supporting daily trading activities
- Drive the identification and development of new procedures, funding structures and automation of processes
- Provide regional treasury leadership on new business initiatives in the US
- Perform other duties as assigned or needed
Requirements
- At least 5 years of experience on the buy or sell side in a Portfolio Finance, Delta One Trading, Repo or Stock Loan role, or experience supporting these desks in a technical/quant strats role with an interest in moving into more of a business facing role
- Technically fluent using Python or other programming languages
- Sound understanding of treasury and cash management concepts
- Solid understanding of financial markets and different asset classes
- Ability to multitask, prioritize, and manage competing deadlines
- Self-motivated team player with strong interpersonal skills
- Excellent written and verbal communication; ability to communicate both technical and business content effectively
- Strong analytical and problem-solving skills
- Reliable and predictable availability
Skills
- Python
- Treasury
- Cash Management
- Financial Markets
- Asset Classes
- Multitasking
- Prioritization
- Deadline Management
- Interpersonal Skills
- Written Communication
- Verbal Communication
- Analytical Skills
- Problem-Solving Skills
Location
- US
Work Type
- Full-time
Experience Level
- 5+ years
Education Level
- Bachelor's degree in STEM, Accounting, Finance, Computer Science, or related areas
Salary/Compensations
- $225,000—$250,000 USD
Benefits
- Discretionary bonus eligibility
- Medical, dental, and vision insurance
- HSA, FSA, and Dependent Care options
- Employer Paid Group Term Life and AD&D Insurance
- Voluntary Life & AD&D insurance
- Paid vacation plus paid holidays
- Retirement plan with employer match
- Paid parental leave
- Wellness Programs
About the Company
- Jump Trading Group is committed to world-class research, empowering talents in Mathematics, Physics, and Computer Science to push scientific boundaries and apply cutting-edge research to global financial markets.
- The company culture emphasizes innovation, fearlessness, creativity, intellectual honesty, and a competitive streak, with a focus on winning together and unlocking individual talent through collaboration and mutual respect.
- Jump's research outcomes drive superior risk-adjusted returns, technology development, startup funding, and partnerships with research organizations and universities.
