Job description
The Role: Treasury Manager
The Firm: Global Alternative Asset Manager
The Location: City of London
Every growing Treasury Function of a renowned Investment Manager hiring at Manager level to work within a broad capacity across liquidity, funding, financial risk & FX risk
The Responsibilities:
• Manage FX exposure supporting hedging strategy, source liquidity, execute trades & oversee confirmations
• Execute and optimise funding activity
• Monitor treasury risks and limits
• Work closely with finance, legal, ops and the PM providing treasury input
• Produce clear liquidity, funding and hedging reports with driver commentary
The Requirements:
• 6+ years in Treasury experience across asset management, banking or corporate treasury
• Deep and clear understanding of treasury products particularly FX, Swaps & Forwards
• FX execution experience
• TMS experience such as Quantum is a bonus
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