Treasury Management Analyst (FX & Interest Rate risk)
West London, London, United Kingdom
Hybrid / WFH Options
Hybrid / WFH Options
Centrica
Treasury Management Analyst (FX & Interest Rate Risk) Centrica Energy is the trading arm of Centrica. We trade LNG, gas, power and energy attributes - and connect independent producers, suppliers and corporate off-takers in the wholesale energy markets. We are recruiting for a Treasury Management Analyst to work within our commodity … of the business. Our risk environment encompasses: Liquidity demand: understanding the current, forecast and stressed liquidity requirements to ensure we plan and are proactive FX risk management: understanding where non functional currency exposures reside, transfer volatility away from trading teams, hedge in good time and understand any residual impacts on … through strong team work, organisation, clear accountability and constant forward looking risk assessment. How does this role fit in to Treasury? Operational Treasury Daily FX risk management: working closely with the trading desks to understand MTM and forward settlement FX exposures and neutralise as appropriate Optimisation of FX hedging: Working more »
Employment Type: Contract, Work From Home
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