Senior Treasury Analyst - Front Office

Richard James Recruitment Specialists Ltd
London, United Kingdom
21 Oct 2022
12 Nov 2022
Job Function
Foreign Currency
Industry Sector
Finance - General
Employment Type
Full Time
Our client is a Corporate Financial Services company who provide treasury services to its Group companies in Europe and the EMEA region, which comprises of over 600 individual subsidiaries across a multitude of different industries.

The company focuses on treasury activities and is responsible for the efficient financing and management of the Group's internally generated funds and its net external funding requirements through the issue of Euro Medium-Term Notes (EMTN), commercial paper (CP) transactions and third-party loans. It also manages the group's capital structure and key financial risks.

The main objectives of the business are:
  • To provide treasury service and render financial advisory services to its Group companies in EMEA.
  • To obtain wholesale funding at competitive market rates through its CP and EMTN programmes, while providing investors with flexible opportunities for deploying funds.
  • To manage a liquidity portfolio. Primary objective of the investment strategy is to ensure the optimal level of liquidity and capital preservation. The liquid investments are held in investment grade sovereigns, secured repo trades and to a limited extent in some debt securities.
  • Managing the group's risk exposure and ensuring activities are executed in an efficient and compliant manner.
  • To maintain a comprehensive and stable business contact network in London and European markets through active participation in a variety of financial transactions.

An exciting opportunity now exists for a Treasury Senior Associate within the Front Office team. You will be responsible for supporting the management of FX & Interest rate risk, external dealing activities, development of analysis tools, forecasting, group finance related loan documentation/activities, and ad hoc analysis as required.


Asset Liability Management:
  • Money Markets, Forex and Interest rate risk management and execution
  • Liquidity Management
  • Cash flow planning
  • Day to day lending and deposit acceptance to/from group companies
  • MC Group finance monitoring (including preparation and maintenance of relevant agreements)
  • Implementation and maintenance of effective cash management system

Financial Advice to Group Companies:
  • Advising of finance related issues in line with group treasury policy (both group finance related and non-related)
  • Introducing financial institutions
  • Supporting finance arrangement and negotiation with external parties

Reporting and Administration:
  • Making daily/monthly/quarterly reports and ad-hoc meeting materials
  • Preparation and maintenance of relevant documentations
  • Administrative works to be compliant with financial regulations
  • Support Treasury group wide projects in the Front Office area where required
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