Maintain consistently high levels of service to internal and external clients, responding effectively to requirements and building strong, trusted relationships across the business.
⭐START: ASAP | END: 6 months⭐
What you’ll do:
⭐ Manage FX, liquidity and interest rate risk while ensuring treasury positions remain within approved limits and risk appetite
⭐ Support ALM activities, optimise surplus cash and treasury investments, and manage pricing, spreads and trading positions
⭐ Partner with treasury, banking and client teams to deliver commercial solutions while maintaining strong regulatory controls and client service
What you’ll need:
⭐ Proven treasury or financial markets experience with strong knowledge of FX and interest rate products
⭐ Highly numerate with experience in trading, derivatives and financial/economic market analysis
⭐ Strong decision-making, interpersonal and client relationship skills, with the ability to operate effectively in a regulated banking environment