A leading global financial services firm in the City of London is seeking a Treasury professional to manage daily operations, including payment flows and collateral movements. The role requires strong leadership abilities and expertise in liquidity risk management. Candidates should possess exceptional communication skills and a customer-focused mindset, along with a background in financial regulations and familiarity with Python, SQL, and Tableau. This position offers the opportunity to contribute to key strategic initiatives and maintain operational resilience. #J-18808-Ljbffr
Contact Detail:
Intercontinental Exchange Holdings, Inc. Recruiting Team