Treasury & Capital Manager
DV Trading
- Location
- Chicago
- Work model
- On-Site
- Level
- Mid
- Salary
- $100k/yr
- Posted
- 14d ago
About this role
About Us
Founded 20 years ago and headquartered in Chicago, the DV Group of financial services firms has grown to more than 600 people operating throughout North America, Europe and Asia. Since spinning out of a large brokerage firm in 2016, DV Trading has rapidly scaled as an independent proprietary trading firm utilizing its own capital, trading strategies, and risk management methodologies to provide liquidity to worldwide financial markets and hedging opportunities to commodity producers and users. Now, DV group affiliates include two broker dealers, a cryptocurrency market making firm, and a bourgeoning investment adviser.
Overview: We are seeking an experienced Treasury & Capital Manager to oversee the firm’s daily liquidity, cash management, funding, and capital-management activities. This individual will work closely with senior finance leadership, trading desks, clearing brokers, banking partners, and other internal stakeholders to ensure that cash and capital are deployed efficiently across the organization. The ideal candidate will have strong treasury or financial-services experience, excellent Excel skills, and the ability to manage multiple entities, banking relationships, and brokerage accounts in a fast-paced trading environment.
Responsibilities
• Manage daily cash and liquidity across the firm’s broker-dealers and other trading entities.
• Monitor bank, clearing broker, and prime broker balances, including cash, margin, collateral, and available liquidity.
• Prepare daily cash-position and liquidity reports for senior management.
• Develop and maintain short- and medium-term cash forecasts.
• Coordinate funding and cash movements between banks, brokers, and affiliated entities.
• Monitor capital levels and liquidity requirements across regulated and nonregulated entities.
• Help ensure that regulated entities maintain appropriate capital and liquidity buffers.
• Manage and strengthen relationships with banks, clearing brokers, prime brokers, and other financial counterparties.
• Review interest rates, financing costs, credit facilities, deposit arrangements, and other treasury terms.
• Identify opportunities to improve yield on excess cash and reduce borrowing, financing, and banking costs.
• Coordinate capital contributions, distributions, and intercompany funding.
• Support the negotiation, onboarding, and maintenance of banking and brokerage relationships.
• Establish and maintain appropriate controls over cash movements, wire transfers, account access, and treasury processes.
• Develop Excel-based models and reporting tools to improve cash visibility, forecasting, and capital allocation.
• Partner with Accounting, Tax, Legal, Compliance, Operations, and Trading teams on treasury-related matters.
• Support management with liquidity stress testing, scenario analysis, and strategic capital planning.
Requirements
• Bachelor’s degree in Finance, Accounting, Economics, or a related field.
• Approximately 2-5 years of relevant experience in treasury, liquidity management, banking, brokerage, or financial services.
• Experience managing cash across multiple legal entities, bank accounts, or brokerage