Corporate Treasury - Liquidity Manager (, , United Kingdom)
Corporate Treasury - Liquidity Manager (, , United Kingdom)

Corporate Treasury - Liquidity Manager (, , United Kingdom)

Part-Time 72000 - 108000 £ / year (est.) No home office possible
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At a Glance

  • Tasks: Lead liquidity management and mitigate risks in a dynamic banking environment.
  • Company: Join a major international bank with a diverse corporate treasury team.
  • Benefits: Gain exposure to senior leaders and enhance your skills in a supportive setting.
  • Why this job: Perfect for those eager to learn about liquidity management and make an impact.
  • Qualifications: Experience in corporate treasury and knowledge of liquidity regulations is essential.
  • Other info: Ideal for aspirational AVPs or junior VPs looking to advance their careers.

The predicted salary is between 72000 - 108000 £ per year.

This VP position joins the corporate treasury team for a major international bank:

  • Identifying key business drivers, leading the liquidity management for key risk drivers, and working with the team to mitigate and minimise risks.
  • Managing stakeholders both internally and externally forms an important part of this position, so strong communication and negotiation skills are essential.
  • Other key responsibilities include stress testing and analysis of derivatives portfolios, reviewing regulatory liquidity submissions, participating in regulatory reviews, and partnering with wider teams across the bank to execute on strategic deliverables.

This is a diverse, specialist team, who are more broadly responsible for Liquidity, Funding, IRBB and FTP management. It’s a small team, so this individual will be working closely with the Director and SVP, providing exposure and learning opportunities from the get-go.

This position is suitable for aspirational AVPs or junior VPs who are eager to learn more about managing Broker-Dealer liquidity. Being able to hit the ground running is key, so the ideal candidate must have existing experience in banking in a corporate treasury - liquidity management position.

Specific experience in managing and optimising trades, and balance management, is required. This position requires specialist knowledge of key concepts such as LCR, NSFR, RLAPS, and CRD IV liquidity regulations. Other knowledge requirements include Treasury, SFT, Derivatives, and Prime Finance products.

Corporate Treasury - Liquidity Manager (, , United Kingdom) employer: Pure Search

As a leading international bank, we pride ourselves on being an excellent employer, offering a dynamic work culture that fosters collaboration and innovation within our corporate treasury team. Located in the heart of the United Kingdom, we provide our employees with exceptional growth opportunities, including direct mentorship from senior leaders and exposure to critical liquidity management strategies. Our commitment to employee development, coupled with competitive benefits and a supportive environment, makes us an attractive choice for professionals seeking meaningful and rewarding careers.
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Contact Detail:

Pure Search Recruiting Team

StudySmarter Expert Advice 🤫

We think this is how you could land Corporate Treasury - Liquidity Manager (, , United Kingdom)

✨Tip Number 1

Familiarise yourself with the key liquidity regulations mentioned in the job description, such as LCR and NSFR. Understanding these concepts will not only help you in interviews but also demonstrate your commitment to the role.

✨Tip Number 2

Network with professionals already working in corporate treasury or liquidity management. Engaging with them on platforms like LinkedIn can provide insights into the role and may even lead to referrals.

✨Tip Number 3

Prepare to discuss your previous experiences in managing trades and balance management. Be ready to share specific examples that highlight your skills and how they relate to the responsibilities of this position.

✨Tip Number 4

Showcase your communication and negotiation skills during any interactions with us. Since stakeholder management is crucial for this role, demonstrating your ability to effectively communicate will set you apart from other candidates.

We think you need these skills to ace Corporate Treasury - Liquidity Manager (, , United Kingdom)

Liquidity Management
Risk Mitigation
Stakeholder Management
Strong Communication Skills
Negotiation Skills
Stress Testing
Derivatives Analysis
Regulatory Compliance Knowledge
LCR (Liquidity Coverage Ratio)
NSFR (Net Stable Funding Ratio)
CRD IV Liquidity Regulations
Balance Management
Trade Optimisation
Knowledge of Treasury Products
Team Collaboration

Some tips for your application 🫡

Tailor Your CV: Make sure your CV highlights relevant experience in corporate treasury and liquidity management. Emphasise your understanding of key concepts like LCR, NSFR, and CRD IV liquidity regulations, as well as any specific achievements in managing trades and balance management.

Craft a Compelling Cover Letter: In your cover letter, demonstrate your strong communication and negotiation skills. Mention how your previous experiences align with the responsibilities outlined in the job description, particularly in stakeholder management and risk mitigation.

Showcase Your Analytical Skills: Since the role involves stress testing and analysis of derivatives portfolios, include examples of how you've successfully conducted similar analyses in the past. Highlight any tools or methodologies you used to achieve results.

Highlight Team Collaboration: Given that this position requires working closely with a small team, mention any past experiences where you collaborated effectively with others. Discuss how you contributed to strategic deliverables and what you learned from those experiences.

How to prepare for a job interview at Pure Search

✨Understand Key Liquidity Concepts

Make sure you have a solid grasp of key liquidity regulations such as LCR, NSFR, and CRD IV. Being able to discuss these concepts confidently will demonstrate your expertise and readiness for the role.

✨Showcase Your Stakeholder Management Skills

Prepare examples of how you've effectively managed stakeholders in previous roles. Highlight your communication and negotiation skills, as these are crucial for this position.

✨Demonstrate Analytical Skills

Be ready to discuss your experience with stress testing and analysing derivatives portfolios. Providing specific examples of how you've approached these tasks will show your analytical capabilities.

✨Express Your Eagerness to Learn

Since this role is suitable for aspirational AVPs or junior VPs, convey your enthusiasm for learning and growing within the corporate treasury space. Mention any relevant training or certifications you’re pursuing.

Corporate Treasury - Liquidity Manager (, , United Kingdom)
Pure Search
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  • Corporate Treasury - Liquidity Manager (, , United Kingdom)

    Part-Time
    72000 - 108000 £ / year (est.)

    Application deadline: 2027-06-15

  • P

    Pure Search

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