Trading 212 Ltd in the City of London is seeking a highly analytical Treasury Manager to strengthen our liquidity management and treasury risk framework, collaborating with Trading, Finance, Risk, Product and executive stakeholders.
You will build liquidity forecasts, stress tests and risk models, support day-to-day funding across group entities, own risk and control assessments, write policies, and improve dashboards and reporting using Excel, SQL, Power BI and AI tools.
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Liquidity Strategy Lead β Treasury & Risk employer: Trading 212 Ltd
As a Senior Risk Manager at our innovative firm, you will thrive in a dynamic environment that champions excellence and rapid growth. We offer unique challenges that foster your professional development while allowing you to make a significant impact on products that empower millions of investors. Our flat, cross-functional team structure promotes collaboration and values your ideas, all within a generous remuneration framework that includes annual bonuses.