Senior Treasury Analyst
AAA Global
Job Description
We are partnering with a leading global investment and technology firm managing over $90B in assets, to hire a Senior Treasury Analyst supporting their Financial Research group. Location: Hyderabad/Bangalore Responsibilities: Partner with the global Treasury team to deliver complex analytics and financial modeling projects Analyze large volumes of historical and real-time data related to trades, positions, exposures, financing accruals, and margin requirements Build, enhance, and maintain Excel- and Python-based models and analytical tools Support financing optimization, stress-scenario analysis, and pricing negotiations through quantitative modeling Perform user acceptance testing (UAT) and validate model outputs to ensure accuracy and reliability Develop dashboards and data visualization panels using proprietary and industry-standard analytical frameworks Contribute to regulatory scenario analysis by constructing sample portfolios and comparing outcomes under varying assumptions Support daily Treasury activities including securities lending, cash management, alternative funding facilities, and counterparty risk monitoring Monitor Uncleared Margin Rules (UMR) and debit agreements to ensure compliance and operational efficiency Collaborate with Technology and Financial Research teams to improve data sourcing, reporting, and workflow automation Requirements: An MBA/CFA with 3 to 7 years of relevant experience demonstrating robust analytical, problem-solving, and research capabilities, including the ability to manage and interpret large datasets Experience in developing and independently maintaining business-critical analytical models Excellent data visualization skills using tools such as Microsoft Excel, Python, or proprietary/foundation platform A deep interest in reading and interpreting market literature and regulatory documentation, and applying these insights to design calculators and optimizations that guide financing strategies Excellent written and verbal communication skills, including the ability to document and present quantitative insights to a range of stake holders Excellent understanding of Treasury operations, FX hedging, liquidity risk, and investment cash flows