Topstep

Financial Services

SeniorTreasuryAnalyst

$120–145k Chicago, Illinois, United States FULL TIME Remote Friendly
Market Sentiment
HIGH DEMAND

Neural analysis suggests this role is
optimal for Senior candidates.

The Brief

“Senior Treasury Analyst at Topstep. Skills: Cash forecasting, Financial modeling, Liquidity management, Treasury operations. Prepare rolling 13-week cash flow forecast. Maintain rolling 13-week cash flow forecast”

Industry & Context.

Financial Services
Problems you'll solve

Problem-solving; Analytical thinking; Root cause analysis

What They're Looking For.

Must Have

Bachelor's degree in Finance, 3-6 years of experience in treasury, Advanced financial modeling, Advanced Excel skills, Understanding of financial statements, Understanding of cash flow dynamics, Basic exposure to treasury management systems, Basic exposure to banking platforms, Basic exposure to financial reporting tools

Nice to Have

Treasury operations experience, Analytical capabilities, Financial modeling capabilities, Experience developed within a treasury environment, Experience developed within a corporate finance environment, Experience developed within a banking environment, Experience developed within a consulting environment, Experience developed within a public accounting environment, Experience developed within a financial advisory environment

What You'll Do.

Prepare rolling 13-week cash flow forecast

Maintain rolling 13-week cash flow forecast

Develop dynamic financial models

Forecast operating cash flows

Forecast working capital

Forecast strategic initiatives

Perform variance analysis

Conduct scenario planning

Conduct sensitivity analyses

Assess liquidity impacts

Prepare weekly cash flow reporting

Prepare executive-level liquidity presentations

Manage daily cash positioning

Manage liquidity reporting

Monitor cash balances

Monitor funding requirements

Initiate wire transfers

Review wire transfers

Initiate ACH payments

Initiate treasury transactions

Review treasury transactions

Track treasury transactions

Support bank account openings

Support bank account closures

Support periodic banking reviews

Administer treasury controls

Administer payment approvals

Administer fraud prevention tools

Administer segregation of duties

Assist with implementation of banking products

Assist with optimization of banking products

Assist with implementation of treasury management systems

Assist with optimization of treasury management systems

Assist with implementation of cash management solutions

Assist with optimization of cash management solutions

Partner with Accounting

Ensure timely bank reconciliations

Resolve outstanding cash-related items

Support banking relationship management

Support fee analysis initiatives

Assist with month-end close activities

Assist with quarter-end close activities

Ensure compliance with treasury policies

Ensure compliance with internal controls

Ensure compliance with banking requirements

Help document treasury processes

Help improve treasury processes

Help document treasury controls

Help improve treasury controls

Help document standard operating procedures

Help improve standard operating procedures

Support Accounting teams

Provide financial analysis

Provide cash flow insights

Develop ad hoc models

Develop ad hoc analyses

Support executive decision-making

Support capital allocation

Support strategic initiatives

Participate in special projects

Participate in acquisitions

Participate in international expansion

Participate in banking initiatives

Participate in process automation efforts

Assist in evaluating treasury-related risks

Assist in evaluating treasury-related opportunities

Create treasury dashboards

Enhance treasury dashboards

Enhance treasury KPIs

Create management reporting

Enhance management reporting

Identify opportunities to automate reporting

Identify opportunities to improve forecasting accuracy

Leverage analytical tools

Drive efficiencies within treasury operations

How You'll Work.

Team & Collaboration

Partner with Accounting; Support FP&A; Support Accounting; Support Tax teams

Communication Scope

Executive-level reporting; Executive presentations

Process & Methodology

Process improvement, Process automation

Full Job Description

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 o

Free ATS check

Applying for this Senior Treasury Analyst role?

Most applicants get filtered before a human reads their resume. See if yours makes the cut.

How to Apply on Greenhouse

  • Create a Greenhouse profile before applying — it saves time across multiple applications.
  • Upload your resume as a PDF; the parser handles it better than Word.
  • Answer all knockout questions carefully — wrong answers auto-reject before a human sees you.
  • Enable email notifications to track application status in real time.

ANONYMOUS · UNFILTERED

What do employees actually say about Topstep?

Real rants from real employees. Read before you apply.

Read Company Rants →