Treasury Trader - Associate

CMC MARKETS

London, United Kingdom
On-site
Trading or front-office experience
Analytical and quantitative skillset
Financial products and derivatives knowledge
Support the execution and optimisation of pricing, funding, and liquidity strategies across a growing product suite

Job Summary

  • Support the execution and optimisation of pricing, funding, and liquidity strategies across a growing product suite.
  • Develop and maintain pricing and financing models, identify opportunities for cash and liquidity optimisation, and manage the firm’s Liquid Asset portfolio.
  • Gain direct exposure to core trading activities and infrastructure, working closely with dealing, risk, operations, and technology teams.

Matching Summary

Support the execution and optimisation of pricing, funding, and liquidity strategies across a growing product suite.

Skills & Requirements

Must-have

  • trading or front-office experience
  • analytical and quantitative skillset
  • financial products and derivatives knowledge
  • advanced Excel skills
  • collaboration with cross-functional teams

Nice-to-have

  • Python experience
  • familiarity with Agile ways of working
  • strong communication skills

Key Requirements

  • Demonstrable experience in a trading or front-office role
  • 5 days on site per week in London office

Work Rights

Not specified

Tailored Resume

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