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Treasury Manager / Dealer LONDON

Harrington Starr
Closing date
6 May 2021

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Job Details

Harrington Starr i working with a FTSE 100 Company to find them a Treasury Manager / Dealer to join their London corporate trading house in Central London.

Ideally, it needs to be someone who is immediately available or can start in 1 week's time. Are you that person or do you know someone who could be?

Your responsibility as the Treasury Manager is:
  • To manage the Front Office Cash trading for the UK entity of our global corporate trading house.
  • Take responsibility for the Governance and Risk.
  • Work closely with the middle and back office
  • Manage core liquidity requirements for group treasury
  • Execute Treasury trades in Cash, Derivative and FX products.
  • Enhance current and develop new relationships

You will need the following skills to be considered:
  • Previous experience of working as a Treasury Manager, Dealer, Trader or similar
  • Strong numerical skills for pricing of products
  • Excellent communication skills both written and oral
  • Good understanding of regulations and governance and risk

This is an interim position for 6 months with the strong possibility of extending for multiple years. Rate is dependant on experience.

Send your CV quickly as this will be a fast process and you don't want to miss out

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