Role: Treasury Analyst (FX)
Industry: Financial Services
Location: London (Hybrid Working)
Salary: £55,000-£75,000
Role Overview
A leading global financial services firm is seeking a Treasury Analyst to join its central Treasury function in London. This role sits within a dynamic capital markets environment and is focused on the management of foreign exchange and interest rate risk, alongside supporting broader liquidity, funding, and Treasury reporting activities.
The successful candidate will collaborate closely with front office, risk, finance, and operations teams, contributing to a well-controlled, commercially focused Treasury platform within a regulated financial institution.
Key Responsibilities
Monitor and manage FX and interest rate exposures across the firm's investment and funding activities, ensuring appropriate hedging strategies are implemented.
Partner with trading and portfolio management teams to advise on FX risk mitigation approaches aligned with the firm's risk appetite.
Ensure Treasury risk systems and internal controls effectively capture and report FX and interest rate exposures.
Develop and enhance reporting and analytical tools using platforms such as Power BI and market data systems to support senior management decision-making.
Oversee collateral management processes, including margining and counterparty exposure monitoring.
Support counterparty credit reviews and maintain relationships with banking partners and financial institutions.
Contribute to Treasury reporting, liquidity analysis, and regulatory documentation as required.
Deliver ad hoc financial modelling, scenario analysis, and risk reporting to support strategic initiatives.
Key Requirements
Experience within financial markets, asset management, investment banking, or a related financial services environment is essential.
Demonstrable exposure to FX and interest rate risk management within a Treasury or risk function.
Strong quantitative and analytical capabilities, with the ability to translate complex data into actionable insights.
Clear and professional communication skills, both written and verbal.
Ability to prioritise effectively in a fast-paced, market-driven setting.
Advanced proficiency in Excel, PowerPoint, and Power BI; experience with market data platforms and programming (e.g., Python) is advantageous.
Personal Attributes
Highly detail-oriented with strong control awareness and risk discipline.
Capable of working independently while exercising sound judgement in a regulated environment.
Resilient and composed under pressure, particularly during periods of market volatility.
Proactive in monitoring market developments, liquidity positions, and risk exposures.
Collaborative team player with the confidence to escalate and challenge where appropriate.
The Opportunity
This role offers the opportunity to deepen Treasury and market risk expertise within a sophisticated financial services organisation. The successful candidate will gain exposure to complex funding structures, capital markets activity, and strategic financial decision-making, with clear scope for progression and increasing responsibility within a high-performing Treasury function.