Portfolio Manager, London Treasury

Commonwealth Bank

London, United Kingdom
Not specified; not specified; not specified
3-4 years market-facing experience
Treasury or funds management background
Deep understanding of bank funding
The Portfolio Manager plays a critical role in the strategic enhancement of the London portfolio by combining market-facing execution with deep analytical expertise

Job Summary

  • The Portfolio Manager plays a critical role in the strategic enhancement of the London portfolio by combining market-facing execution with deep analytical expertise.
  • You will leverage AI-driven tools and advanced analytics to streamline workflows, elevate decision-making, and realize meaningful productivity gains.
  • The team is focused on the effective management of balance sheet portfolio risks and investment activity while ensuring appropriate liquidity and funding settings.

Matching Summary

The Portfolio Manager plays a critical role in the strategic enhancement of the London portfolio by combining market-facing execution with deep analytical expertise.

Salary

Not specified; Not specified; Not specified

Skills & Requirements

Must-have

  • 3-4 years market-facing experience
  • Treasury or Funds Management background
  • Deep understanding of bank funding
  • Liquidity management expertise
  • Regulatory compliance knowledge
  • Murex or Wall Street Systems proficiency

Nice-to-have

  • AI agent development experience
  • Python and SQL modelling skills
  • Global macroeconomic theme interest
  • Advanced analytics with Tableau
  • Strong stakeholder partnership skills
  • Continuous process enhancement mindset

Key Requirements

  • Tertiary qualifications in Finance, Economics, Mathematics or Business
  • Postgraduate study or professional accreditation preferred
  • Experience in Treasury, Bank, or Funds Management environment
  • Proficiency with core Treasury systems like Murex and Bloomberg

Work Rights

Not specified

Tailored Resume

Cover Letter