ICG is seeking a Treasury professional in the United Kingdom to support liquidity, funding, and financial risk management. This role offers vast exposure to balance sheet management and will involve close partnership with Finance and Operations teams to ensure effective governance and control.
The ideal candidate will have over 7 years of treasury experience, strong FX execution skills, and a proven ability to manage counterparty relationships. This position offers opportunities for growth within a collaborative environment.
#J-18808-Ljbffr