Treasury Liquidity Management And Optimization (non Officer)

Morgan Stanley UK

Base: $115,000 to $160,000 py; bonus/equity: discr...
Advanced understanding of treasury
In-depth knowledge of liquidity risk
Experience with bank balance sheet funding
This role involves managing the firm's liquidity resources, executing funding strategies, and mitigating risks within the Treasury Capital Markets team

Job Summary

  • This role involves managing the firm's liquidity resources, executing funding strategies, and mitigating risks within the Treasury Capital Markets team.
  • Candidates will collaborate with senior stakeholders globally to optimize liquidity positioning and report on daily funding flows.
  • The position offers a comprehensive compensation package including base pay between $115,000 and $160,000 plus potential bonuses and benefits.

Matching Summary

This role involves managing the firm's liquidity resources, executing funding strategies, and mitigating risks within the Treasury Capital Markets team.

Salary

Base: $115,000 to $160,000 per year; Bonus/Equity: Discretionary bonuses and incentive packages included; Benefits: Comprehensive employee benefits and perks

Skills & Requirements

Must-have

  • Advanced understanding of Treasury
  • In-depth knowledge of liquidity risk
  • Experience with bank balance sheet funding
  • Ability to execute reverse repurchase agreements
  • Strong analytical capabilities for complex problems

Nice-to-have

  • Inquisitive and proactive mindset
  • Excellent verbal and written communication skills
  • Self-motivation and eye for detail
  • Ability to build relationships across the Firm
  • Experience working with technology teams

Key Requirements

  • 3-7 years relevant experience
  • Bachelor's degree in Finance or Accounting
  • Must have or obtain Series 7, 63, and SIE licenses

Work Rights

Not specified

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