Treasury Operations - Prop Trading firm - TC
Listed on 2026-09-09
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Finance & Banking
Risk Manager/Analyst, Financial Analyst, Banking & Finance
Location: Greater London
Our client, a high performing, multi-asset proprietary trading business, is looking to hire a Treasury Specialist into their London office.
Opportunities to join this firm are exceptionally rare, with hiring driven almost exclusively by business growth rather than attrition. As the firm continues to expand its trading entities and broaden its product offering, they are looking to hire a Treasury Specialist to focus on liquidity and cash optimisation, cash and collateral management, and margin and clearing analytics, whilst also leading automation and process improvement initiatives.
The role offers broad exposure across the trading business and the opportunity to help shape the future of the treasury function.
Candidates should have 4+ years' experience in treasury, cash, collateral or margin management from either the buy-side or sell-side, with broad asset class exposure and a proven track record of delivering improvements through automation and process optimisation.
This is a crucial hire for the team, with an expected TC of up £150k year one, with growth year on year.
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