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Treasury Manager

Marks Sattin · London

Senior 🇬🇧 English
FX Swaps Forwards

Job description

About the role

The Treasury Manager will join a global alternative asset manager in the City of London, overseeing liquidity, funding and foreign‑exchange risk. You will work across a broad range of treasury activities, supporting the firm’s hedging strategy and ensuring efficient cash management.

Key responsibilities

  • Manage FX exposure, support hedging strategy, source liquidity and execute trades while overseeing confirmations.
  • Execute and optimise funding activities to meet the firm’s cash requirements.
  • Monitor treasury risks and limits, ensuring compliance with internal policies.
  • Collaborate closely with finance, legal, operations and portfolio managers to provide treasury input.
  • Produce clear liquidity, funding and hedging reports with driver commentary.

Required profile

  • Minimum 6 years of treasury experience in asset management, banking or corporate treasury.
  • Strong understanding of treasury products, especially FX, swaps and forwards.
  • Proven FX execution experience.
  • Experience with treasury management systems (e.g., Quantum) is a plus.

Required skills

  • FX
  • Swaps
  • Forwards
  • Quantum Treasury Management System

Questions fréquentes

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Published 1 month ago

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Marks Sattin

London