1. An exciting opportunity to join a well-established financial services firm!
2. Offering great benefits including excellent career progression.
About Our Client
The company is a large organisation within the financial services industry. With a global presence, they are recognised for their commitment to innovation and excellence in the financial sector.
Job Description
The key responsibilities for the role are:
3. Manage and optimise the bond and treasury portfolio.
4. Monitor and evaluate market trends to identify investment opportunities.
5. Develop risk management strategies to protect the company's financial position.
6. Coordinate with internal stakeholders to manage liquidity and capital resources.
7. Ensure compliance with regulatory requirements and internal policies.
8. Prepare regular reports on portfolio performance and market conditions.
9. Collaborate with the accounting team to ensure accurate financial reporting.
10. Participate in strategic financial planning and decision making.
The Successful Applicant
A successful Treasury and Bond Portfolio Manager should have:
11. A strong academic background in finance, economics, or a related field.
12. Proven experience in treasury and bond portfolio management.
13. Excellent analytical skills and a strategic mindset.
14. Strong knowledge of financial markets and investment strategies.
15. Proficiency in financial software and data analysis tools.
16. High ethical standards and professionalism.
17. Excellent communication and negotiation skills.
What's on Offer
18. A supportive and collaborative work environment.
19. Opportunities for professional growth and development.
20. A comprehensive benefits package.
21. The chance to work in the heart of London, one of the world's leading financial centres.