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Head of Treasury | London, UK | In-Office

T+O+M

London

On-site

GBP 90,000 - 150,000

3 days ago
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Job summary

An established industry player is seeking a Head of Treasury to lead their treasury and liquidity business unit. This pivotal role involves shaping the strategic direction of treasury activities, managing capital liquidity, and overseeing balance sheet management. The ideal candidate will bring over 15 years of experience in treasury management within investment banking, demonstrating a strong track record in risk management and regulatory compliance. This position offers an exciting opportunity to influence key financial strategies while mentoring a dedicated team in a dynamic environment. If you are a strategic thinker with a passion for treasury operations, this role is perfect for you.

Qualifications

  • 15+ years in Treasury/Liquidity management roles in investment banking.
  • Strong leadership skills with a focus on capital liquidity.

Responsibilities

  • Manage interest rate and foreign exchange risks, ensuring liquidity.
  • Provide financial analysis to support decision making and monitor market conditions.

Skills

Treasury Management

Liquidity Management

Risk Management

Financial Analysis

Capital Raising

Education

Bachelor's Degree in Finance or related field

Master's Degree in Finance or related field

Job description

Our prestigious global investment banking client is looking to appoint a Head of Treasury to oversee their treasury and liquidity business unit. Reporting directly to the Group treasurer, this senior role will shape and drive the strategic direction of all treasury activities for the division as well as managing capital liquidity and balance sheet management.

Responsibilities
  • This role will manage the interest rate risk of the banking book as well as the foreign exchange risk whilst ensuring there is sufficient liquidity for trading activity and maximising revenue streams.
  • Optimising cash management and investment strategies.
  • Managing the asset and liability portfolio for financial markets.
  • Identifying and securing funding and participating in capital raising activities where appropriate.
  • Providing financial analysis and forecasting to support and shape decision making whilst proactively monitoring market conditions to predict potential impact on performance.
  • Oversight and control of the treasury dealing room with a focus on quality assurance, ensuring treasury policies and procedures are followed and risk is minimised.
  • Strategic planning of head count as well as continuous mentoring and training of direct reports.
  • Ensuring compliance with relevant financial regulations and regulatory reporting requirements as well as maintaining accurate financial documentation.
The Ideal Candidate:
  • Will have 15 years + experience within Treasury/Liquidity management roles from an investment bank with a focus on capital liquidity and balance sheet management, regulatory reporting and risk management.
  • Head office and international experience will be highly regarded.
  • A track record of success as a leader within a senior management role as well as in-depth knowledge of the treasury function and building a risk management framework.
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