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Job Showcase
Treasury Analyst
London
Permanent / £25,000 - £30,000 |
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Description of employer
One of the World’s leading management companies
Job description
The Debt & Risk Team is responsible for the execution of funding and risk management strategies. The two primary functions of the team are “fund raising” and “risk management”.
The Liquidity Team is responsible for the execution of the day to day treasury operations. The two primary functions are “liquidity management” and “currency risk management”.
Key responsibilities:
To support the two Treasury Managers in the Debt & Risk and Liquidity teams in the analysis and management of debt, derivatives, liquidity, related foreign exchange transaction exposures and off balance sheet guarantees of the Group. In each case, proactively challenge existing processes and procedures with the objective of improving these on an ongoing basis and influencing the decision making process.
Profile of candidate
Although not essential, some treasury experience would be an advantage. Relevant training will be provided but the successful applicant should be highly numerate, computer literate and preferably have a financial or economics background.
Benefits
Excellent Benefits Package
Application info
Application info: To discuss this role further, please call the numbers below and quote K18
From within the UK: 0845 223 5757
From overseas: +44 (0)207 401 7888
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