Treasury Manager
Job Description & How to Apply Below
My client is an established UK bank, looking to expand their Treasury Markets team with a manager. The manager will support the Bank's liquidity, funding and investment strategies (including interest rates/FX swaps and HQLA portfolio management), in addition to some line management responsibilities. The ideal candidate will come from a broad banking treasury background, with strong exposure to Treasury Markets.
Responsibilities- Executing treasury products (money markets, repo, fixed income, FX/IR swaps)
- Monitoring financial markets and conducting economic analysis
- Manage/develop front office treasury team
- Ensure compliance with market risk policies
- Management of HQLA portfolio
- Relevant experience in front office Treasury within a bank
- Experience line managing or mentoring junior staff
- Knowledge of Treasury products and analytical mindset
The following opportunity is for a Treasury Manager with JSS.
This posting is for the Treasury Manager role at JSS, based in England, United Kingdom.
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