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An impressive FTSE-listed business in Central London is seeking a Treasury Manager to join the growing team.
Your new role
In your new role as a Treasury Manager, you will support the Head of Treasury in the day-to-day management of the team and assist on a variety of projects throughout the department.
* Daily liquidity management - derivatives, deposits, FX, and associated payments
* Bank loan and capital markets debt compliance reporting (including securitisation)
* Treasury operations reporting
* Management of TMS
* Assist in improving processes and systems throughout the department
* Assist the wider Treasury team with banking transactions and capital market issuance as required
* Review the work of treasury administrators and provide guidance where necessary
* Management of debt security asset pools
* Assist the Head of Treasury with team management, especially when the head is out of the office
What youll need to succeed
To succeed in this position, you will be AMCT, CA, or CFA qualified with a treasury or risk background and a desire to further develop your treasury career.
What youll get in return
In return, you will receive a competitive salary along with a bonus and benefits. This role offers an excellent opportunity to join a progressive and growing team, providing exposure to various areas within treasury.
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