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Treasury Markets & Execution Contractor

We are partnering exclusively with one of the big 4 consultancies in their search for a Treasury Markets Specialist. This is a 12 month temporary role with scope for extension, based in London and predominantly remote working with the office attendance on an ad hoc basis). It is looking to pay a competitive day rate (likely through umbrella) for the right candidate

Role Description

  • To backfill a BAU Treasury Execution person onsite at one of their banking clients
  • You will perform this role while the incumbent focusses on a series of project tasks
  • You will be primarily responsible for cash position management
  • Treasury Trading, execution, and Bond issuance
  • There will be an element of risk management and reporting

Role Requirements

  • Experience within banking/financial services is essential
  • Proven experience in treasury markets with an understanding of money markets and fixed income instruments
  • Ability to manage a bank's cash position and optimise liquidity
  • Proficiency in trade execution
  • Strong knowledge of financial risk management principles

Application for:

Treasury Markets & Execution Contractor

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