My client is an established UK bank, looking to expand their Treasury Markets team with a manager. The manager will support the Bank's liquidity, funding and investment strategies (including interest rates/FX swaps and HQLA portfolio management), in addition to some line management responsibilities. The ideal candidate will come from a broad banking treasury background, with strong exposure to Treasury Markets.
Responsibilities
- Executing treasury products (money markets, repo, fixed income, FX/IR swaps)
- Monitoring financial markets and conducting economic analysis
- Manage/develop front office treasury team
- Ensure compliance with market risk policies
- Management of HQLA portfolio
Requirements
- Relevant experience in front office Treasury within a bank
- Experience line managing or mentoring junior staff
- Knowledge of Treasury products and analytical mindset
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Treasury Manager in England employer: JSS
JSS is an exceptional employer that fosters a dynamic work culture, encouraging collaboration and innovation in the heart of the UK near Bristol. Employees benefit from comprehensive growth opportunities, competitive compensation, and the chance to influence strategic decisions in a pivotal role that shapes the future of hospitality revenue management. Join us to be part of a forward-thinking team dedicated to excellence and professional development.