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Date Added: Fri 01/11/2024

Treasury Dealer/Analyst

London, UK
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Company: STERLING WILLIAMS LTD

Job Type: Permanent, FullTime

Salary: £40,000 - £55,000 per annum

Treasury Analyst

1 year Fxed Term Contract

London/Hybrid

Circa £45,000 - £55,000

Sterling Williams are working alongside an international bank, they are seeking a treasury analyst, the role will entail assisting the treasury function ensuring that it is profitable whilst adhering to all procedures set by the Bank and the regulators.

Main Responsibilities

  • Monitor and forecast theBank hasenough cashreserves andfinancial assets tomeet changingeconomicconditionsand future liabilities.
  • Monitor Bank's FX, Trading, Liquidity, IRR, funding gaps and Investment Books inaccordance withtheBank'soverallexposurelimitsinlinewiththe Bank's Trading Book Policy, Trading Mandates, Large ExposurePolicy,CountryRiskPolicy,MarketRiskPolicy, ALM Policy, Interest Risk Policy and Liquidity Policy within the assigned individual trading limits.
  • Follow qualitative andquantitative frameworks for liquidity,interestraterisk,foreignexchange, counterparty management and capital.
  • Good knowledge of the financial markets and be able to execute FX, Rates, Credits and MM deals.
  • Advise the Treasury team and monitor the expected closing balances and all Nostro accounts daily.
  • Calculate daily Cashflow and advise the Treasury team.
  • Prepare ALCO pack, produce research reports based on macroeconomic data, and prepare credit proposals etc.
  • Assist the Treasury team in setting up and monitoring Treasury rates, reconciling the Bank's positions, and data feeding on Bloomberg or other appropriate systems for Regulatory Reporting.
  • To be able to provide cover for all members of the Treasury functions. Any additional activities are deemed necessary to facilitate the completion of the Department objectives.
  • Building effective cash forecasting and liquidity pool methodologies.
  • Balancing hedging and supporting processes and risk applications under regulatory accounting and economic incentives.
  • Implementing the processes and analytical framework required to support daily funding, foreign exchange management, capital management and interest rate risk management.
  • Delivering counterparty risk framework that includes measurement, controls,systems,policies andprocedures.
  • Designing and delivering optimal capital management processes that structure funding and investment to optimise capital placement.
  • Ensuretherevenue& liquiditytargetsofthebanksaremet.
  • Manage all aspects of Treasury function including cash flows, liquidity & capital management.
  • Work with Head of Treasury in enhancing counterparty relationship & limits.

The successful candidate will have

  • 3-4years’ experienceinabankingenvironment, preferably a small Bank.
  • Previousexperienceinaclientfacing role.
  • ExcellentcommandofEnglishbothwritten and oral communication.
  • Experienceofworkingbothindependentlyandinateam oriented, collaborative environment.
  • Abilitytoliaisewith various areas of the Bank such as credit, Wholesale Banking, operations and compliance.
  • Excellentpresentationandlisteningskills.
  • Attention todetailswithproactive andcriticalthinking.Identify and manage risk appropriately and use risk management techniques for the best interests of an organisation and its stakeholders.
  • Monitorandapplyrelevantlegislation,policiesandprocedures.
  • Think proactively about the future, applying professional judgement and commercial intelligence and
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