Senior Manager – Treasury & Financial Risk
- Type: Permanent
- Location: England - London
- Industry: Professional Services
- Specialism: Treasury
- Salary: £85,000-103,000 + benefits and bonus
- Date Posted: 16/09/2025
- Consultant: Jack Woodlock
A global consulting business with a large presence in the UK, and specifically London FS market, have mandated us to start the search for several key additions to the team. You’ll be working collaboratively with their Regulatory, Technology and Modelling teams and will play a key role in their Treasury and Risk brand. You’ll have the opportunity to deepen and expand your professional and personal skills including your leadership, commercial and technology skills. Hybrid working available.
Role Description
- Working on projects relating to treasury and risk transformation including risk management frameworks, policies and procedures, risk measurement, monitoring and reporting and supporting technology tooling including AI
- Working with our technology specialists to develop and/or implement technology solutions
- Being a member of and leading teams on large and small engagements - working as part of a project team on client sites and day-to-day liaison with clients
- Identifying the impact of regulatory and broader business / economic change and supporting clients to adapt to the challenges current evolving landscape
- Preparing analysis and reports
- Supporting senior team members through the development of marketing and sales activities
- Relationship building and networking with clients and internally across the firm
- Participating in the Consultancy’s Thought Leadership
Role Requirements
- A knowledge of core financial products (banking and trading book) and financial services business / commercial models
- Treasury and/or risk management experience in any of the 3 lines of defence
- Balance sheet, cash and liquidity management (including intra-day liquidity) activities
- Asset & liability management, interest rate risk management and FX management. Corresponding hedge accounting experience will be favourably considered
- Understanding of financial risks across stripes and financial products and corresponding risk appetite, limits and metrics
- Developing and/or implementing risk management policies, procedures and strategies to manage liquidity, funding, capital and balance sheet risks, considering applicable regulatory requirements
- Treasury forecasting and stress testing, including for internal, ILAAP/ICAAP and Recovery Plan purposes
- Designing and/or implementing Target Operating Models for Treasury and Risk Management functions
- Selecting and implementing Treasury Management, Asset and Liability Management Systems and Enterprise Risk Management systems