Treasury Markets & Execution Contractor - Competitive Day Rate

Treasury Markets & Execution Contractor - Competitive Day Rate

Posted Today by Empirical Search

Negotiable
Inside
Remote
London, United Kingdom

Summary: The role of Treasury Markets Specialist involves backfilling a Treasury Execution position at a banking client for a 12-month temporary contract, primarily focused on cash position management and treasury trading. The position allows for predominantly remote work with occasional office attendance. The candidate will be responsible for executing trades and managing financial risks while the incumbent focuses on project tasks. A competitive day rate is offered, likely through an umbrella company.

Key Responsibilities:

  • Backfill a BAU Treasury Execution role at a banking client
  • Manage cash position and optimize liquidity
  • Perform treasury trading, execution, and bond issuance
  • Engage in risk management and reporting

Key Skills:

  • Experience within banking/financial services
  • Proven experience in treasury markets, money markets, and fixed income instruments
  • Ability to manage a bank's cash position
  • Proficiency in trade execution
  • Strong knowledge of financial risk management principles

Salary (Rate): undetermined

City: London

Country: United Kingdom

Working Arrangements: remote

IR35 Status: inside IR35

Seniority Level: undetermined

Industry: Consulting