The Treasury Documentation Analyst will execute all documentation related activities including drafting, reviewing and negotiation, while complying with relevant compliance and regulatory requirements. In this role, you will implement continuous improvement initiatives and projects to support the goals and vision of the global documentation team. You will provide expertise and support to different business needs in collaboration with legal, tax and other relevant stakeholders.
This corporate Treasury function are looking for a Cash and Sustainable Financing Manager to support their cash requirements.
This a new role working for a global investment manager and corporate bank, within an expanded team, to lead the Group Regulatory Reporting function’s work on prudential policy, working closely with the Pillar 1 and Pillar 2 reporting teams
A new and highly successful specialist mortgage lender, who is in the process of applying for their banking licence are looking to hire within their Treasury Capital Markets team.
Leading challenger bank recruiting due to growth in their Balance Sheet Modelling and Analytics team. It is an ideal opportunity for a data modeller, either within banking or a finance related role, to work in a bank treasury team where analytics and data science are core to the Bank’s strategy.
A mid-sized M&A and Advisory firm, with a strength in Equity Capital Markets, is building out their International Treasury function and requires an experienced Treasury professional to focus on first line defence duties, predominantly on Funding, Liquidity and Cash Management. This role is based in Frankfurt, with blended office and home working available.