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Corporate Treasury Specialist – Foreign Exchange

Posted a month ago

  • London, Greater London
  • Any
  • External
  • Expired - 2 months ago
We are running an exciting new headhunting campaign for two experienced Treasury professionals to join a Sovereign Wealth fund in the Middle East Region. These two Senior Associate roles combine commerciality and sustainability. The successful candidates will get the opportunity to be involved in the investment of the State’s surpluses in a way that ensures prosperity, while working as part of a fund that creates and executes initiatives to drive local economic development. The fund are encouraging international applications and have thought of every detail when it comes to providing the necessary financial and logistical support for anyone relocating. These are rare opportunities to work for an employer who prioritises Integrity, Respect, and Responsibility to future generations while also enhancing your CV technically at the same time.Role DescriptionBe the subject matter expert in the FX space. Always looking to improve your knowledge through active research and participation in global forums. In turn being able to impart this knowledge across the treasury team / key stakeholders to ensure optimal decision making.Execute complex treasury transactions by taking liquidity, funding, and interest rate positions in line with the risk framework of the Fund.You will provide timely and cost effective business funding and minimise interest rate and liquidity risk within the organisation.You will also recommend wider trading positions for the treasury trading business area based on prevailing market conditions.Monitor, measure and evaluate processes and procedures, and initiate and advise on innovations, changes, and improvements to ensure optimisation and streamlining of processes and procedures that contribute to effective Treasury processes.Core objectives are to provide Positioning based on market intelligence, Competitive pricing and marketing practices, Smooth flow of day-to-day operations, and Compliance with international standards and company policies.Role RequirementsSignificant experience gained working in the Corporate Treasury of a large commercial institution with global considerations, with a particular need for foreign exchange product exposure.FX and/or Derivatives Structuring experience from a sell side institution preferable, especially if you haven’t worked in a corporate treasury setup before or most recently.Bachelor’s degree in Economics, Finance, or equivalent from a reputable and recognised universityA relevant professional qualification such as MBA/CFA/ACI preferableEnhanced technical skills in areas such as Corporate governance, Data collection and analysis, and Reporting
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We will process your CV and personal information to assess your suitability for a role you apply for, or more generally for roles we have if you have not identified a role if you email us your CV directly. If we wish to consider you further for the role or for other roles, we will register your personal information on our database and contact you. We may contact you from time to time about other roles we believe will be of interest to you. Your personal information will be securely held. For more information please refer to our Privacy Policy by clicking here .Leading challenger bank is recruiting due to growth in their Modelling and Data Analytics team. It is an ideal opportunity for a financial data modeller, either within banking or a finance related role, to work in a team where analytics and data science are core to the Bank’s strategy.One the UK’s fastest growing retail and corporate banks are looking to expand their Treasury team with the addition of a senior manager level hire whose focus will be primarily on Asset and liability managementA leading UK bank who has made their mark as being a specialist lender and savings bank are recruiting within the treasury department due the development of a new Asset & Liability Management team, which will form part of a wider Balance Sheet Management team.The Debt Capital Markets team within the Treasury Division, establishes and manages a dynamic range of secured funding transactions, utilising collateral from several divisions of the Bank. The team are also responsible for maintaining the Bank’s unsecured wholesale funding programmes and utilising these programmes to strategically fund the Bank and Group via unsecured debt issuance.The Secured Funding Reporting Project Manager will be responsible for the successful implementation of a bespoke securitisation reporting system. In addition, they will support and enhance the BAU reporting activities undertaken by the department.
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