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Treasury Risk Manager

Employer
MERJE Ltd
Location
South East London, UK
Salary
Competitive
Closing date
Aug 27, 2019

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Job Role
Treasury
Sector
Finance
Contract Type
Permanent
Hours
Full Time
My client is a top Corporate FX business based in London/ They are looking for a detail oriented and organised self-starter to assist in Treasury Risk Management and the compilation of financial/regulatory reports. The role has responsibilities for the below: Monitor headroom across various liquidity providers Monitor/provide updates on long and short positions by currency pairs Deal with margin calls/margin exchange with liquidity providers Weekly update as to balance of exposures by liquidity providers Monthly forecasts of liquidity movements based on current trading book Analyse data to identify pinch points/match with market events Run stress test scenarios on exposures Manage internal funding swaps, internal loans between group entities Use hedging strategies/take protective measures as necessary Join Monthly Risk committee EXPERIENCE & TECHNICAL SKILLS: Experience from a Treasury or Settlements background Ability to work autonomously and to think creatively Excellent stakeholder management experience Educated to degree level Attained or working towards a professional qualification Knowledge of FXDB system would be desirable

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