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Capital Markets Manager

Job in Greater London, London, Greater London, W1B, England, UK
Listing for: OneSavings Bank PLC
Full Time position
Listed on 2026-09-13
Job specializations:
  • Finance & Banking
    Capital Markets, Risk Manager/Analyst, Financial Analyst
Salary/Wage Range or Industry Benchmark: 70000 - 100000 GBP Yearly GBP 70000.00 100000.00 YEAR
Job Description & How to Apply Below
Location: Greater London

About the team

Help deliver the future funding and capital markets strategy of a leading UK specialist bank

Are you looking for an opportunity to work at the heart of a dynamic Treasury & Capital Markets function, supporting the delivery of high-profile transactions that directly support business growth and strategic objectives?

We're seeking a talented and commercially minded Capital Markets Manager to join our Treasury & Capital Markets team on a 12-month fixed-term basis. This is a unique opportunity to gain exposure across wholesale funding activities and strategic capital markets initiatives within a lean, fast-paced and collaborative environment.

You'll play an important role in helping us deliver the Group's capital markets and secured wholesale funding strategy, working with stakeholders across Treasury, Finance, Risk, Operations and external counter parties including key service providers. Whether supporting transaction execution, building analytical tools or enhancing collateral management processes, your work will have a direct impact on the bank's funding strategy and market presence.

Please note this position is a Fixed Term Contract for a period of 12 months and can be based either in our London or Wolverhampton office

What you will be doing?

As a Capital Markets Manager, you'll be responsible for delivering robust analysis, driving process improvements and supporting the successful execution of secured and unsecured wholesale funding and capital markets activities.

Key responsibilities include:

  • Supporting the execution of capital markets transactions through insightful analysis and recommendations
  • Assisting in the management of collateral pools across the Bank of England and other secured funding facilities, monitoring performance, eligibility and utilisation
  • Supporting secured funding programmes and capital markets projects, including transaction readiness activities and stakeholder engagement
  • Supporting collateral forecasting through the development and maintenance of associated models and reporting
  • Developing and enhancing models, automated tools and reporting solutions to support decision making, efficiency and data quality
  • Producing historical portfolio performance analysis and data submissions for external stakeholders, ensuring timely and accurate delivery
  • Maintaining robust governance and controls, ensuring processes are completed in accordance with internal policies
  • Contributing to strategic Treasury and Capital Markets initiatives while supporting colleagues across the team
What's in it for you?

We offer a competitive base salary depending on experience and a competitive benefits package including:

  • 30 days annual leave
  • Choose to contribute 3% or 5% pension, with employer contributions of 6% or 8% respectively
  • Enhanced family-focused benefits
  • Hybrid-working

Please use this link to see the fantastic benefits available at OSB: OSB Careers

About us

At OSB Group, we understand how much our people bring to our organisation, which is why we try our best to give back too! Our Purpose is to help our customers, colleagues and communities prosper and we are on a transformation journey to become 'the bank of the future'.

Our commitment to professional development, flexible working, and employee well-being fosters a dynamic and supportive workplace.

Do you have the skills?

We are looking for talented individuals who have the experience and knowledge set out below:

  • Previous work experience in Capital Markets as a Senior Analyst within Financial Services is essential
  • Strong knowledge of Capital Markets or Structured Finance is necessary, as well as mortgage lending and associated markets
  • A degree in Maths, Finance or Economics is preferred
Diversity, Equity & Inclusion

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