Point72
Financial Services
TreasuryOptimizationSpecialist
Neural analysis suggests this role is
optimal for Senior candidates.
“Treasury Optimization Specialist at Point72. Skills: Treasury optimization, Financing, Liquidity. Design systems. Build analytics”
Industry & Context.
Problem-solving
What They're Looking For.
Must Have
5+ years treasury experience, 5+ years financing experience, 5+ years capital markets experience, 5+ years risk experience, Experience in hedge fund, Experience in asset manager, Experience in bank, Deep knowledge of financing mechanics, Deep knowledge of liquidity mechanics, Experience with margining, Experience with collateral management, Experience with balance sheet optimization, Experience with counterparty financing dynamics, Proven ability to design analytical models, Proven ability to build analytical models, Proven ability to design dashboards, Proven ability to build dashboards, Proven ability to design systems, Proven ability to build systems, Experience with large datasets, Experience with complex datasets, Advanced proficiency in Microsoft Excel, Advanced proficiency in PowerPoint, Organizational skills, Commitment to ethical standards
Nice to Have
CFA charterholder preferred, FRM preferred, Series 7 preferred, Series 63 preferred, Series 65 preferred
What You'll Do.
Optimize firmwide financing
Optimize cost of capital
Optimize balance sheet efficiency
Analyze funding structures
Analyze collateral usage
Analyze cash balances
Analyze counterparty financial resources
Improve financing capacity
Improve liquidity management
Improve capital efficiency
Develop forward-looking models
Assess funding stress scenarios
Assess balance sheet utilization
Assess capital trade-offs
Support strategic decisions
Enhance treasury workflows
Enhance data integrity
Coordinate with external counterparties
Improve financing data
Improve process effectiveness
Translate quantitative data
Translate operational data
Translate contractual data
Create clear insights
Create materials for management
Create written commentary
How You'll Work.
Team & Collaboration
Treasury teams; Investment services teams; Risk teams; Technology teams; External counterparties; Prime brokers; Banks; Financing providers
Communication Scope
Presentations; Written commentary
Full Job Description
A Career with Point72's Treasury Team A Career with Point72’s Treasury team will give you the opportunity to utilize your strong problem-solving skills and enhance the performance of the firm. You will gain exposure to a variety of financial instruments including equities, derivatives, bonds, foreign exchange, and futures across global markets. You will support the credit and treasury functions which requires verifying, analyzing, and when necessary, disputing margin calls and recalls, reporting on counterparty exposure, investing the firm's excess cash, and negotiating margin requirements with the firm's prime brokers and derivative counterparties. What you'll do Design and build systems, analytics, and reporting to optimize firmwide financing, liquidity, cost of capital, and balance sheet efficiency across asset classes and counterparties. Analyze funding structures, margin and collateral usage, cash balances, and counterparty financial resources to improve financing capacity, liquidity management, and capital efficiency. Develop forward-looking models and frameworks to assess funding stress scenarios, balance sheet utilization, and capital trade-offs, supporting strategic decisions on financing mix, tenor, counterparty selection, and product usage. Partner globally across our treasury, investment services, risk, operations, and technology teams to enhance treasury workflows, data integrity, and reporting. Coordinate with external counterparties such as prime brokers, banks, and financing providers to improve financing data, reporting, and process effectiveness. Translate complex quantitative, operational, and contractual data into clear insights and materials for senior management, including dashboards, written commentary, and presentations. What's required 5+ years of experience in treasury, financing, capital markets, or risk within a hedge fund, asset manager, bank, or similar financial institution. Deep knowledge of financing and liquidity mechanics across eq
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