Graduate Treasury Banking Opportunity - (Onsite) in City of London

Graduate Treasury Banking Opportunity - (Onsite) in City of London

City of London Full-Time 30000 - 40000 Β£ / year (est.) No working from home possible
Market Talent Ltd

At a Glance

  • Tasks: Support treasury operations, manage liquidity, and assist with FX transactions.
  • Company: Established international bank with a strong global presence.
  • Benefits: Gain hands-on experience, excellent career progression, and work in a collaborative team.
  • Other info: Opportunity for broad exposure across various banking disciplines.
  • Why this job: Join a growing bank and learn from experienced professionals in a dynamic environment.
  • Qualifications: 2025/2026 graduate with some banking experience and strong analytical skills.

The predicted salary is between 30000 - 40000 Β£ per year.

Our client is a well-established international banking institution with a strong presence across Europe, the Middle East and international markets. Combining decades of banking heritage with a growing UK franchise, the organisation has built a reputation for delivering relationship-led banking services across corporate banking, trade finance, treasury and international banking.

As part of continued growth within the London operation, an opportunity has arisen for a Junior Treasury Dealer / Treasury Analyst to join a close-knit team of high calibre individuals. This is an excellent opportunity for an ambitious banking professional seeking broad exposure across Treasury, Liquidity Management, Foreign Exchange, Settlements and Credit. Initially focused on treasury and operational activities, the role offers a genuine pathway into wider banking disciplines, including exposure to the Credit function over time.

The successful candidate will work closely with senior management and gain hands-on experience across a variety of front-to-back banking activities within a highly visible and commercially important role.

Key Responsibilities
  • Treasury & Liquidity Operations
    • Support the day-to-day management of the Bank's liquidity position
    • Assist with Money Market, Foreign Exchange and Fixed Income transactions
    • Monitor funding requirements and liquidity movements
    • Support daily treasury reporting and profitability analysis
    • Assist with counterparty bank relationship management and onboarding activities
    • Support treasury settlements and operational processing requirements
  • FX & Position Management
    • Monitor FX positions throughout the trading day
    • Ensure positions remain within approved risk parameters
    • Assist in managing Net Open FX Positions and overnight limits
    • Support the management of stop-loss limits and risk controls
    • Provide accurate market and position reporting to management
  • Risk, Controls & Compliance
    • Monitor interbank, treasury and foreign exchange limits
    • Ensure activities remain within the Bank's risk appetite framework
    • Support adherence to FCA, PRA, Bank of England and UK MAR requirements
    • Assist with operational controls and first-line risk management responsibilities
    • Escalate operational issues and potential risks promptly and appropriately
  • Credit & Business Support
    • Provide support to the Credit function as required
    • Assist with customer interest certificates and audit requests
    • Support due diligence and onboarding reviews for banking counterparties
    • Collaborate with colleagues across Treasury, Operations, Risk and Credit
    • Participate in projects and process improvement initiatives across the business
About You

You will be a 2025 / 2026 graduate, college or school leaver with at least an internship / rotation and small amount of experience in a regulated banking or financial services firm. You will be educated in the UK and not require sponsorship.

Strong analytical and numerical skills, excellent attention to detail and organisational ability, strong Excel skills, a positive attitude, willingness to learn and desire to broaden your banking knowledge.

Why Apply?
  • Join a growing international bank with a long-established global presence
  • Gain exposure across Treasury, Liquidity, FX, Settlements and Credit
  • Work directly alongside experienced banking professionals and senior management
  • Excellent long-term development opportunity within a growing UK operation
  • Broad and varied role offering genuine career progression
  • Be part of a collaborative team where your contribution will be highly visible and valued
Eligibility Requirements

Unfortunately, visa sponsorship is not available for this position. To be considered, applicants must already hold one of the following:

  • British Citizenship
  • Indefinite Leave to Remain (ILR)
  • EU Settled Status
  • Permanent and unrestricted Right to Work in the UK

Applicants requiring current or future employer sponsorship cannot be considered. Please note that candidates whose right to work is dependent upon a sponsored spouse, partner or family member visa arrangement requiring future sponsorship support will also be unable to progress.

Graduate Treasury Banking Opportunity - (Onsite) in City of London employer: Market Talent Ltd

Join a prestigious international banking institution that values your growth and development in the heart of London. With a strong emphasis on relationship-led banking, this role offers you the chance to work closely with seasoned professionals, gaining invaluable experience across Treasury, Liquidity Management, and more, all within a supportive and collaborative team environment. Enjoy excellent long-term career progression opportunities while contributing to a dynamic and commercially significant operation.

Market Talent Ltd

Contact Details:

Market Talent Ltd Recruitment Team

We think you need these skills to ace Graduate Treasury Banking Opportunity - (Onsite) in City of London

Analytical Skills
Numerical Skills
Attention to Detail
Organisational Ability
Excel Skills
Liquidity Management
Foreign Exchange (FX) Management