Making sure you fit the guidelines as an applicant for this role is essential, please read the below carefully.
Role Description
Managing a team of two you will be accountable for driving the Treasury strategy to manage and optimise key market risks, in particular FX risks, and its excess liquidity and funding strategy. Role Requirements
Comfortable working in a fast paced and ever changing environment where plans and priorities often change. Deep treasury markets experience and demonstrable experience of delivering outside of the core responsibilities of an operational front office role. Evidence of devising strategies to manage risks, P&L and optimising FX and short-term interest rates, ideally with good working knowledge of card schemes and the Payments industry. Willingness to work with Payments, Analytics, Liquidity teams within Treasury as well as other teams such as Accounting, New Projects, and Product teams. This will also include working with Regional Treasury teams in APAC, MENA and US. Comfortable in a leadership role that requires hands-on work. Commitment to work in the office three days a week (Tuesday, Wednesday and Thursday).
#J-18808-Ljbffr