Treasury & Liquidity Manager – London
We are seeking a technically strong Treasury & Liquidity Manager to join a leading global financial services organization in London.
Key Responsibilities:
* Manage and optimize the firm’s cash and collateral portfolios, including investments in bonds and reverse repos.
* Monitor risk and indicators, ensuring alignment with the organisation’s liquidity and stress-based risk models.
* Process required data and make timely investment decisions.
* Collaborate with the trading function while leading a small team of analysts and managers.
* Work across multiple projects, adapting quickly to changing priorities.
Experience & Skills:
* Strong background in treasury, repo markets, or cash/liquidity management within a regulated environment.
* Familiarity with PRA or equivalent regulations.
* Technical expertise in bonds, repos, and liquidity modelling.
* Experience with market risk, IRRBB, or rates desks is a plus.
* Candidates with trading experience will be regarded as a major plus
* Exceptional organizational, multitasking, and communication skills.
* Motivated by risk management, process improvement, and learning opportunities.
Team & Structure:
* Role reports to a Director and manages four direct reports.
* Team operates across London and India in a flat organizational structure.
* Exposure to multiple aspects of treasury and risk management, with opportunities for growth.
Why Join:
* Work in a technically challenging, multi-faceted treasury environment.
* Influence key investment and risk decisions.
* Collaborate with a motivated and highly skilled team.