Description
Description:
This is a fantastic and genuinely unique opportunity for an aspiring Treasurer to gain exposure to a far broader range of treasury skills than most roles offer. As a small, PRA-regulated clearing bank with big plans, Bank of London gives you the chance to get involved in everything β from daily liquidity management and payment scheme operations to ILAAP and ICAAP production, ALCO governance, and balance sheet strategy. You won't be siloed into one narrow area; you'll be part of building a treasury function from the ground up.
We're looking for a motivated and detail-oriented Treasury Manager to support the day-to-day running of the Treasury function while helping to develop and strengthen it as the bank grows. You'll work closely with colleagues across Risk, Finance and Technology, and will play a hands-on role in keeping the bank's liquidity and funding position on track.
Office Location: London | Hybrid (3 days in office per week) | Salary range: Β£70,000 - Β£80,000
Bank of London is one of only six UK clearing banks with direct access to the country's payment systems. Built on modern, cloud-native technology, we provide businesses with secure, API-driven banking that's fast, compliant, and built for growth. Our role is simple: help ambitious businesses turn their plans into reality by removing barriers and simplifying complexity. If you want to work where technology meets banking, where security comes first, and where your work directly enables business ambition, you're in the right place.
Description:
This is a fantastic and genuinely unique opportunity for an aspiring Treasurer to gain exposure to a far broader range of treasury skills than most roles offer. As a small, PRA-regulated clearing bank with big plans, Bank of London gives you the chance to get involved in everything β from daily liquidity management and payment scheme operations to ILAAP and ICAAP production, ALCO governance, and balance sheet strategy. You won't be siloed into one narrow area; you'll be part of building a treasury function from the ground up.
We're looking for a motivated and detail-oriented Treasury Manager to support the day-to-day running of the Treasury function while helping to develop and strengthen it as the bank grows. You'll work closely with colleagues across Risk, Finance and Technology, and will play a hands-on role in keeping the bank's liquidity and funding position on track.
Requirements
Skills & Experience
A degree in Finance, Accounting, Economics, Data Science, or a related discipline.
A professional qualification such as AMCT, ACT, ACA, ACCA, CIMA or CFA is preferred.
Skills & Experience
- Experience working in or closely alongside a Treasury function within a regulated bank.
- Good working knowledge of UK payment schemes including Faster Payments, CHAPS, and Bacs, including awareness of collateral and settlement mechanics.
- Some familiarity with FX and European payment systems such as SEPA Instant and TARGET2 (T2) would be beneficial.
- Awareness of regulatory liquidity requirements (PRA, EBA); any exposure to ILAAP, ICAAP or similar processes is a plus.
- Strong Excel skills; experience with dashboards or reporting tools like Power BI or Tableau is an advantage.
- Interest in AI or data-driven approaches to treasury analytics would be a bonus.
- Good attention to detail, well organised, and happy to roll up your sleeves.
- A clear communicator who enjoys working across teams.
- Comfortable in a smaller, fast-paced environment where you can make a real impact.
A degree in Finance, Accounting, Economics, Data Science, or a related discipline.
A professional qualification such as AMCT, ACT, ACA, ACCA, CIMA or CFA is preferred.