Cash Management Specialist, Treasury Operations
Company: Graham Capital Management, L.P.
Location: Norwalk
Posted on: April 1, 2026
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Job Description:
Graham Capital Management, L.P. ("Graham") is an alternative
investment manager founded in 1994 by Kenneth G. Tropin.
Specializing in discretionary and quantitative macro strategies,
Graham is dedicated to delivering strong, uncorrelated returns
across a wide range of market environments. As one of the
industry’s longest-standing global macro and trend-following
managers, Graham remains committed to innovation, evolving its
strategies through a robust investment, technology, and operational
infrastructure. Graham harnesses the synergies between its
discretionary and quantitative trading businesses to offer a broad
suite of complementary alpha strategies, each built on the
principles of thoughtful portfolio construction, active risk
management, and diversification by design. Graham invests
significant proprietary capital alongside its clients – including
global institutions, endowments, foundations, family offices,
sovereign wealth funds, investment management advisors, and
qualified individual investors – reinforcing alignment of interests
across all strategies. The foundation of Graham’s sustainability
and success is the experience and contributions of its people. The
firm seeks to cultivate talent, encourage the diversity of ideas,
and respect the contributions of all. In turn, each employee shares
in the responsibility of strengthening those around them.
Description Graham Capital Management, L.P. is seeking a Cash
Management Specialist to join the Treasury Operations team within
our Trading Services department. This individual will be involved
with all aspects of cash management, including, but not limited to,
margin analysis, wire transfer processing, cash account
reconciliation and operational support. Responsibilities Processing
of all daily margin cashflows & trading settlements Cash &
liquidity management including collateral analysis, daily funding
of cash accounts and forecasting Ongoing development & enhancement
of the firm’s treasury platform and associated procedures Issue and
respond to daily margin movements (i.e., comparison of broker
valuations, identification, escalation and resolution to margin
disputes, etc.) Daily portfolio trade, cash and position
reconciliations between internal records, administrator and the
brokers for all product types Ensure the accuracy of trade
bookings, pricing and other deliverables Analyze FX exposure and
coordinate execution for various entities Assist in the preparation
and consolidation of reports distributed to Senior Management
Participate in operations related projects and respond to ad-hoc
requests Engage in relevant industry initiatives and developments
Requirements BS/BA in Finance or related field 2-3 years of
treasury or cash management experience Understanding of margin,
portfolio financing and collateral agreements Understanding of cash
management controls and best practices Familiarity with wire entry,
template creation and electronic payment platforms Knowledge of
cleared and OTC derivatives, FX, equities and fixed income markets
Ability to work with highest level of accuracy in a time-sensitive
environment Excellent organizational, analytical and communication
skills Advanced user of Word, Excel, and Windows This role requires
commuting into our Rowayton, CT office Mondays through Fridays.
Base Salary Range The anticipated salary range for this position is
$80,000 to $95,000. The anticipated range is based on information
as of the time this post was generated and does not include any
discretionary bonus or benefits (see eligibility below). The
applicable annual salary or hourly rate paid to a successful
applicant will be determined based on multiple factors, including
without limitation the nature and extent of prior experience,
skills, and qualifications. This wage range may be modified in the
future. In addition, the employee who fills this role will be
eligible for a discretionary annual bonus, as well as a wide array
of benefit programs, such as medical and life insurance, 401(K)
plans, and access to other healthcare programs. Notes: No amount of
pay is considered to be wages or compensation until such amount is
earned, vested, and determinable. The amount and availability of
any bonus, benefits, or any other form of compensation that a
particular employee may be eligible for remains in the Company's
sole discretion unless and until paid and may be modified at
Graham’s sole discretion, consistent with the law. Graham is
committed to providing equal employment opportunity to all
employees and applicants for employment without regard to their
race, color, religious creed, gender, age, national origin,
ancestry, alienage, citizenship status, handicap, disability,
marital status, sexual orientation, gender identity, pregnancy,
childbirth or other related conditions, military status, genetic
information, or any other personal characteristics protected by
applicable law. This policy applies to all terms and conditions of
employment, including hiring, placement, promotion, layoff,
termination, transfer, leave of absence and compensation.
Keywords: Graham Capital Management, L.P., New England , Cash Management Specialist, Treasury Operations, Accounting, Auditing , Norwalk, Northeast