Treasury Markets Risk
6 months ago
**Treasury Markets Risk and Control Business Manager**
**London**
As a Barclays Treasury Markets Risk and Control Business Manager, you will be assisting the Treasury’s markets execution team. The team works directly with the traders, structurers, management and infrastructure teams who support in the coordinating cross-function strategic objectives and initiatives. Your role will have a wide ranging and substantive remit with significant visibility and profile, ideal to those interested in financial markets and multi product trading desks, as well as strengthening the governance and control framework.
Barclays is one of the world's largest and most respected financial institutions, established in 1690, with a legacy of success, quality, and innovation. We offer careers that provide endless opportunity - helping millions of individuals and businesses thrive and creating financial and digital solutions that the world now takes for granted.
**What will you be doing?**
- Helping Senior Business Managers and Treasury stakeholders with managing the people and processes necessary for delivery
- Coordinating the implementation of regulatory and legislative initiatives, communicating changes to the business, ensuring all necessary tools to comply with regulation/legislation are in place
- Ensuring trading desks remain compliant with Front Office Risk and Control (FORC), Financial Markets Standard & Industry Codes of Conduct requirements, frameworks and procedures
- Managing Treasury businesses with adhering with Enterprise Risk Management Framework requirements partnering with cross functions specifically Legal, Compliance and Control Officers
- Managing cross business strategic projects & ad hoc requests (e.g. regulator queries)
- Deploying specific frameworks and processes that can deliver the businesses strategic objectives
- Working with the business on the development of new products, including scoping and business case build-out, solution design and infrastructure coordination, due-diligence and ratification
- Reviewing incoming materials for adequacy and appropriateness in advance, ensuring related discussion with Heads of Business is meaningful and impactful
**What we’re looking for**:
- Solid grasp of a Treasury/Markets asset class business and financial products (securities, money markets, IRS, FX)
- COO/Business Manager / Finance / Risk and Control experience supporting Treasury or Market trading facing teams
- Excellent comprehension of the financial regulatory landscape (EAPO, Volcker, Codes of Conduct etc)
- Proactive approach to enhancing existing processes & procedures, and developing knowledge of the Business in order to support various strategic business initiatives & control objectives
**Skills that will help you in the role**:
- Knowledge of trading/risk management systems, operational front to back flows and key control points
- Excellent communication skills, both presentational and verbal
- Knowledge of Treasury products preferred
- Background and experience in controls and governance
**Where will you be working?**
In the heart of Canary Wharf, our headquarters at Churchill Place boasts onsite amenities such as; a gym, staff restaurant and deli bar, and is easily accessible by tube and bus links. With a population of around 5000 staff the atmosphere is second to none with a real buzz being created around the offices within.
LI-Hybrid
-
Head of Treasury Risk
3 months ago
London, United Kingdom Starling Bank Full timeHello, we’re Starling. We built a new kind of bank because we knew technology had the power to help people save, spend and manage their money in a new and transformative way. We’re a fully licensed UK bank with the culture and spirit of a fast-moving, disruptive tech company. We’re a bank, but better: fairer, easier to use and designed to demystify...
-
Treasury Markets Strategist
3 weeks ago
London, Greater London, United Kingdom Checkout Full timeWe are seeking a seasoned Treasury Markets expert to join our team at Checkout.com. With over 10-15 years of experience in managing and optimising FX and short-term interest rates, the ideal candidate will provide strategic direction and oversight to measure, monitor and optimise key market risks.About the RoleAs a Senior Manager or Director-level Head of...
-
Treasury Associate Nwm
6 months ago
London, United Kingdom NatWest Markets Full timeTreasury, Finance Treasury Associate NWM - London, United Kingdom- Permanent- Full Time#R-00235044 Our people work differently depending on their jobs and needs. From hybrid working to flexible hours, we have plenty of options that help our people to thrive. - This role is based in the United Kingdom and as such all normal working days must be carried out...
-
Financial Markets Specialist
4 weeks ago
London, Greater London, United Kingdom CMC Markets Full timeJob DescriptionCandidates with experience in liquidity and collateral management are sought by CMC Markets to ensure the firm's Treasury Liquidity and Collateral Management processes in Europe and the UK meet their requirements.This role reports into the Treasury Manager and provides a real opportunity for growth and development within various Treasury,...
-
Treasury Risk Management Specialist
7 days ago
London, United Kingdom Empirical Search Limited Full timeOne the UK’s fasted growing corporate and retail banks are looking for an experienced prudential risk specialist for an initial 6-month fixed term contract to provide oversight of liquidity, capital and market risk management. This person would be the key prudential risk contact in second line and may well end up being needed for longer than the initial 6...
-
Junior Treasury Trader, Treasury
3 months ago
London, United Kingdom CLSA Global Markets Pte Ltd Full timeJunior Treasury Trader, Treasury Location: Hong Kong Time Type: Full Time Posted On: Posted Yesterday Job Requisition ID: JR000905 Key Areas of Responsibilities Execute IR and FX derivatives trades; ensure pre- /post- trade compliance; London/NY time trading may be required Execute bond and repo trades; ensure pre- /post- trade compliance Work...
-
Junior Treasury Trader, Treasury
4 days ago
London, United Kingdom CLSA Global Markets Pte Ltd Full timeJunior Treasury Trader, Treasury Location: Hong Kong Time Type: Full Time Posted On: Posted Yesterday Job Requisition ID: JR000905 Key Areas of ResponsibilitiesExecute IR and FX derivatives trades; ensure pre- /post- trade compliance; London/NY time trading may be requiredExecute bond and repo trades; ensure pre- /post- trade complianceWork on research and...
-
Junior Treasury Trader, Treasury
16 hours ago
London, United Kingdom CLSA Global Markets Pte Ltd Full timeJunior Treasury Trader, Treasury Location: Hong Kong Time Type: Full Time Posted On: Posted Yesterday Job Requisition ID: JR000905 Key Areas of Responsibilities Execute IR and FX derivatives trades; ensure pre- /post- trade compliance; London/NY time trading may be required Execute bond and repo trades; ensure pre- /post- trade compliance ...
-
Treasury Trader Expert, Global Markets
3 weeks ago
London, Greater London, United Kingdom CLSA Global Markets Pte Ltd Full timeAbout This RoleCLSA Global Markets Pte Ltd is seeking a highly skilled Treasury Trader to join our team in Hong Kong. As a key member of our global markets team, you will be responsible for executing trades and ensuring compliance with regulatory requirements.Key ResponsibilitiesExecute IR and FX derivatives trades, including pre- and post-trade compliance,...
-
Head of International Treasury and Risk
3 weeks ago
London, Greater London, United Kingdom Marc Daniels Full timeWelcome to the Head of International Treasury and Risk role at Marc Daniels, where you will spearhead the development and execution of treasury strategies that align with the company's broader goals. As a seasoned professional, you will oversee foreign exchange risk management, cash flow optimization, and operational excellence across global markets.Job...
-
Senior Treasury Risk Manager
5 hours ago
London, Greater London, United Kingdom Checkout Full timeSenior Treasury Risk ManagerWe are seeking a highly experienced Senior Treasury Risk Manager to join our team at Checkout. In this role, you will be responsible for defining and implementing excess liquidity investment strategy, optimizing the balance between investment returns, liquidity, and business needs.You will also implement and execute...
-
Market Risk Manager
7 days ago
London, United Kingdom caia.org - Jobboard Full timeSummary: One of the largest Utility-backed physical energy traders in LNG, Coal and Freight is looking to add an experienced Market Risk Manager to lead the Risk team in London. The Risk Specialist will support the business in all key risk management matters affecting the organisation, including working alongside the traders - both challenging and...
-
Senior Treasury Risk Specialist
3 weeks ago
London, Greater London, United Kingdom Empirical Search Limited Full timeCompany OverviewA leading challenger bank is seeking an experienced Treasury Dealer to join their treasury department. The bank has made its mark as a specialist lender and savings bank, and this role offers a great opportunity for stakeholder management throughout treasury and other areas within the bank.Job DescriptionThis role would suit an experienced...
-
Treasury
7 days ago
London, United Kingdom Marc Daniels Full timeA multi-billion market leading brand name business are looking for an International Head of Treasury to lead the treasury function from their London headquarters, driving strategy and operational excellence across global operations. This pivotal role involves overseeing foreign exchange (FX) management, hedging strategies, cash flow optimization, and...
-
Treasury Market Specialist
3 weeks ago
London, Greater London, United Kingdom Barbara Houghton Associates Full timeJob DescriptionAs a Treasury Market Specialist, you will be responsible for managing cash flow and money market transactions, including regular liquidity scenario analysis and monitoring liquid asset buffers. You will also perform market analysis and research, provide internal training if required, and assist in implementing relevant compliance and risk...
-
Treasury Markets Strategist
1 week ago
London, Greater London, United Kingdom Empirical Search Limited Full timeCompany Overview: Empirical Search Limited is a fast-growing Fintech specializing in payment solutions to corporate and global enterprises.About the Role: We are seeking an experienced Treasury Markets Strategist to lead our small treasury markets team. As a key member of our leadership team, you will work closely with senior executives to drive the growth...
-
Treasury Risk Manager
3 weeks ago
London, United Kingdom Undisclosed Full timeTreasury Risk ManagerTreasury Risk ManagerThe location of the role is London (hybrid working). The duration of the contract is 6 months initially. The pay rate on offer is £500 per day (via Umbrella). Role SummaryThe Treasury Cash, Operations and Risk team is responsible for managing the Group’s cash management structures and managing the relationships...
-
Treasury Risk Manager
3 weeks ago
London, United Kingdom Undisclosed Full timeTreasury Risk ManagerTreasury Risk ManagerThe location of the role is London (hybrid working). The duration of the contract is 6 months initially. The pay rate on offer is £500 per day (via Umbrella). Role SummaryThe Treasury Cash, Operations and Risk team is responsible for managing the Group’s cash management structures and managing the relationships...
-
Treasury Risk Manager
2 weeks ago
London,, UK, United Kingdom Undisclosed Full timeTreasury Risk ManagerTreasury Risk ManagerThe location of the role is London (hybrid working). The duration of the contract is 6 months initially. The pay rate on offer is £500 per day (via Umbrella). Role SummaryThe Treasury Cash, Operations and Risk team is responsible for managing the Group’s cash management structures and managing the relationships...
-
Treasury Risk Manager
2 weeks ago
London, United Kingdom Undisclosed Full timeJob Description Treasury Risk Manager Treasury Risk Manager The location of the role is London (hybrid working) . The duration of the contract is 6 months initially. The pay rate on offer is £500 per day (via Umbrella) . Role Summary The Treasury Cash, Operations and Risk team is responsible for managing the Group’s cash management structures and...