Responsibilities of the position:
ยท Support the company in the analysis and management of the treasury market risks.
ยท Implement and execute trading strategies and supporting cash flow.
ยท Execute external market transactions to associated limits
ยท Develop and design front office market risk frameworks.
Requirements of the position:
ยท Market facing experience
ยท Understand Treasury Market risk (FX & Rates)
ยท Experience of Market risk management frameworks
ยท Willing to be based in London