growth, a fantastic opportunity has arisen for a Treasury Director to join a leading City based Trading House. You will be responsible for all treasury operations, encompassing cash and collateralmanagement, risk management and fostering relationships with clearing members, investment partners, custodians, and banks. This role involves strategic investment and collateralmanagement, and robust financial … risk oversight (market, credit, liquidity). The Director drives departmental strategy, stakeholder engagement (board, management, regulators), reporting, data management, and operational risk mitigation. Key Responsibilities of the Treasury Director to include: Oversee daily treasury functions, ensuring accuracy in payments, collateral movements, investments, and reconciliations. Provide operational guidance and support. Building out of the Repo Business and management of settlement processes Lead strategic treasury initiatives as directed by senior management and the board. Manage technology projects related to treasury operations. Cultivate strong relationships with service providers, counterparties, and stakeholders. Maintain relationships with financial institutions. Manage and test the default management and business continuity plans. Required Skills and Experience of the successful Treasury Director: Extensive experience More ❯
Slough, England, United Kingdom Hybrid / WFH Options
JR United Kingdom
months (multi-year scope) X4 Technology are partnered with a global energy trading offering a contract Business Analyst (Credit Risk) to join their dynamic team. This role focuses on collateralmanagement, margining and counterparty exposure risk management within commodity trading. You will play a key part in analysing data, managing exposure reporting and bridging the gap between … business needs and technical solutions. Responsibilities of the Contract Business Analyst (Credit Risk) Analyse and interpret data for exposure reporting and risk management Document business requirements by liaising with business stakeholders across business and technical teams Translate business needs into clear technical specifications for development teams Perform data analysis using advanced Excel and SQL Requirements of the Contract Business … Analyst (Credit Risk) Proven BA experience in Credit Risk processes (collateralmanagement, margining, counterparty exposure risk management) Strong hands-on data analysis with advanced SQL and Excel Experience implementing credit risk management systems (eg Energy Credit, CubeLogic, etc) and working with ETRM platforms The contract is for an initial 6 months with strong potential for multi More ❯
is a high-exposure role within a small, technically capable operations group supporting a multi-asset, multi-venue trading environment. You’ll work across reconciliations, trade support, cash and collateralmanagement, and process automation—helping ensure the firm’s global trading infrastructure runs smoothly and scales efficiently. Ideal for someone who thrives in a fast-moving, engineering-first … and trading activity Manage broker and exchange relationships, resolve operational issues Monitor live risk and escalate accordingly Develop and maintain automated tools (Python, Go, SQL) Support cash, margin, and collateral flows across multiple venues Handle reporting: P&L, risk, treasury, and regulatory checks Participate in the team’s on-call support rota Support onboarding of new products, brokers, and More ❯