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Traesury Risk Manager
2 weeks ago
Our client a global alternative investments fund with over $15 billion AUM, in addition to managing institutional investors investments across sovereign wealth funds, public and private pension plans and cooperates require a "Treasury Risk Manager". On a daily basis the successful individual will be responsible for the following; - Assisting in developing and implementing the Treasurer portfolio strategy - F/X sell-down and share class hedging management - Trade tickets for the Treasury Portfolio (Bonds/FX/ MM instruments) - Assisting development of Treasury tools and reports (TMS on-boarding) - Assisting oversight of Treasury P&L and costs - Working with Operations and Fund Administration to settle and attribute Portfolio Manager costs - Daily cash levelling - Working closely with Business Development/Investor Relations and Fund Accounting to manage subscriptions/redemption's - Daily bank account reconciliation - Daily FX PB settlements - Ad-hoc OTC payment settlements - Assisting break resolution with Fund Administration/counter-parties - Facilitation of information and support to their departments including Investor Relations, Fund Accounting, Operations and Product Control **Experience**: - Relevant experience with Treasury Operations ideally with a sell-side firm - Knowledge of Treasury Operations practices,to include cash management, payments, Exchange and Bank Reconciliations, SSI management - Knowledge of margin methodology across products and advantage (OTC/ETD clearing, UMR and PB margin frameworks) - Proficient in Excel including VBA macro - SQL knowledge preferable - Proven experience in delivering projects - Familiarity with financial markets and assets, experience in Rates/Credit/Equity - Experience developing ad improving controls and processes Please reach out to me to find out more