Treasury Liquidity manager. London

Global investment bank is looking to hire a mid level liquidity manager to join their Treasury department in London. The ideal candidate will have held a similar role in another treasury department for a financial institution. This is a relatively urgent hire so ideally the individual must be available to start in the next two months.

Responsibilities for: Treasury trader. London. £Fixed base salary + annual discretionary bonus

• Deal with various ALM issues encountered within the Treasury
• Arbitraging market inefficiencies in short term products to generate profit (repo, money markets, FX)
• Collateral Optimisation

• Ensuring the balance sheet is properly funded

• Create end of day pnl reports

Skills / Attributes required for: Treasury trader. London. £Fixed base salary + annual discretionary bonus

• Minimum 4 years industry experience
• Solid understanding of FSA Liquidity rules, Government issues capital planning
• Must have held a similar role within the Treasury department ideally at a bank
• Must be eligible to work in the UK 

apply.a33hoiz2jg@selbyjennings.aptrack.co.uk 00442070194194

June 3, 2013 • Tags: , • Posted in: Financial

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