Job Overview
Apply now Treasury Analyst, Liquidity Management, Banking £350 - £400 per day - 6 Month Contract London Treasury Analyst, Treasury, Liquidity Management, Funds Transfer Pricing, Interest Rate Risk Hedging, FX, Money Markets, Banking, Financial Services. A global Investment Bank are currently seeking a Treasury Analyst to join them on a 6 month rolling contract in London. The Analyst will work across the Treasury business and will ideally have experience including Liquidity Management and Funds Transfer Pricing. £350 - £400 per day - 6 Months Essential Requirements: Diverse Treasury experience including but not limited to liquidity management, funds transfer pricing, interest rate risk hedging. Solid understanding of Treasury and/or Finance concepts in general Knowledge of Balance Sheet Management, ALM techniques, NIR modelling and NIM/ Returns Metrics Direct and extended knowledge of interest rate curves, derivatives and FX/money markets. Ability to work with global, regional and country Treasury functions. Excellent Baking and Financial Services experience Good communication and presentation capabilities - both written and oral. Extensive knowledge of MS office. If you meet these requirements please apply for immediate consideration.
Key Requirements
Banking Treasury Liquidity Management FX Funds Transfer Pricing Treasury Analyst Money Markets Financial Services. Interest Rate Risk Hedging