Market execution across money markets, fx, credit, rates
Balance sheet expertise and insight
Liquidity management and sustainable returns
This is a market-facing role at the centre of balance sheet strategy, playing a critical part in enhancing the Treasury portfolio
Job Summary
This is a market-facing role at the centre of balance sheet strategy, playing a critical part in enhancing the Treasury portfolio.
You will contribute directly to portfolio optimisation, liquidity management and sustainable returns on capital, while ensuring best execution within established risk and governance frameworks.
Leverage AI-enabled tools and advanced analytics to enhance decision-making and workflow efficiency, and provide high-quality insights to inform balance sheet risk management.
Matching Summary
This is a market-facing role at the centre of balance sheet strategy, playing a critical part in enhancing the Treasury portfolio.
Salary
$150,000 to $200,000 + variable bonus
Skills & Requirements
Must-have
Market execution across money markets, FX, credit, rates
Balance sheet expertise and insight
Liquidity management and sustainable returns
Risk and governance frameworks
AI-enabled tools and advanced analytics
VBA, SQL, Python, Tableau experience
Nice-to-have
Commercially astute markets professional
Strong risk judgement and drive
Innovation and analytics focus
Global team collaboration
Postgraduate study or professional accreditation
Key Requirements
6-10 years experience in market-facing role
Strong understanding of bank funding, liquidity management
Experience with AI-driven automation
Familiarity with Treasury and Markets systems
Strong stakeholder engagement and leadership
Tertiary qualifications in Finance, Economics, Mathematics or Business