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Treasury Risk Manager

Ref: 04813 | Permanent | London | £50000 - £70000 per Annum

This leading global FX firm, with offices in the heart of the City, are seeking a Treasury Risk Manager to join their highly successful team.

In this newly created role, responsibilities of the Treasury Risk Manager will include:

Monitoring headroom across various liquidity providers
Providing updates on long and short positions by currency pairs
Dealing with margin calls/margin exchange
Providing reporting, to include daily liquidity updates, weekly exposure updates, and monthly forecasts
Analysis of data to ensure market events match
Managing internal funding swaps and internal loans between group entities
Using hedging strategies as required
Attending monthly risk committees

Treasury Risk Manager – what we`re looking for:
Previous experience as a Treasury or Liquidity expert is essential
A proven track record within the foreign exchange field would be beneficial
Graduate calibre candidates with, or working towards, a professional qualification
Excellent interpersonal skills
The ability to work autonomously and take full ownership of your role

Treasury Risk Manager – what`s in it for you?

The chance to work for an acknowledged market leader
Competitive salary and excellent benefits


Please contact Rosie Checksfield for further information.

Phone : 0207 488 9922

Apply Now

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