Senior Treasury Manager (FinTech)
Key Responsibilities
- Execute FX transactions and manage portfolio P&L hedging strategies.
- Manage daily cash positions, liquidity requirements and cash flow forecasting.
- Oversee collateral, margin calls and counterparty dispute resolution.
- Monitor counterparty exposures, covenant obligations and treasury risks.
- Apply knowledge of fixed income and macro derivatives to treasury operations.
- Build relationships with investment clients, banks, brokers and market counterparties.
- Produce treasury reports and improve operational controls and processes.
- Use advanced Excel, SQL, Python and treasury systems to analyse data and automate workflows.
Requirements
- Significant treasury experience within an investment manager, hedge fund, bank or treasury services provider.
- Hands-on FX dealing and hedging experience.
- Strong knowledge of cash management, liquidity, collateral and margin processes.
- Understanding of fixed income and macro derivatives.
- Experience managing counterparty exposures and resolving disputes.
- Advanced Excel skills and practical experience with SQL and Python.
- Strong communication, analytical and problem-solving skills, with the ability to manage complex treasury activities independently.