Operations Associate, Cash Management
Qube Research & Technologies - Wroclaw
Posted Apr 30, 2026
Benefits
- Parental leave
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- Non-birth-parent leave
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- Family-building benefits
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- Fertility benefits: Not verified
- Adoption assistance: Not verified
- Surrogacy assistance: Not verified
- Mental health support
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- Relocation assistance
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- Childcare support
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- Learning budget
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- Verification
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- Salary
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- 401(k) match
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Schedule
- Shift type
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- Weekend work
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Application
- Cover letter
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- Assessment
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- Deadline
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Where they hire
State eligibility is not yet verified.
About this role
Operations Associate, Cash Management Wroclaw Qube Research & Technologies (QRT) is a global quantitative and systematic investment manager, operating in all liquid asset classes across the world. We are a technology and data driven group implementing a scientific approach to investing. Combining data, research, technology, and trading expertise has shaped QRT's collaborative mindset which enables us to solve the most complex challenges. QRT's culture of innovation continuously drives our ambition to deliver high quality returns for our investors. Join our global Operations team as a Cash Management Operations Analyst in Wrocław, supporting the build-out of a centralised cash management function with a focus on oversight, control, and visibility of payment flows across funds and corporate entities. Your future role within QRT includes: - Oversee daily cash wire activity across funds and entities, including prioritisation, approvals, cut-off adherence, and payment status monitoring across internal and bank platforms - Maintain oversight of OTC-related cash flows and act as a control point across all cash activities, ensuring accuracy, completeness, and adherence to governance frameworks - Maintain oversight of cash accounts, including permissions, authorised signatory lists, and support for account setup, mandates, and access controls - Partner closely with Treasury (including Citco) to review cash forecasts, funding requirements, and provide visibility across cash positions and liquidity - Liaise with trading desks, Treasury, Fund Accounting, Legal, and external counterparties to ensure alignment and transparency across cash processes - Support the centralisation of cash activities into a consistent, scalable operating model, identifying control gaps and driving
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