Treasury Manager VP - Macro Hedge Fund
1 day left
- Recruiter
- Caxton
- Location
- London, United Kingdom
- Salary
- Competitive + Bonus & Benefits
- Posted
- 01 Mar 2023
- Closes
- 31 Mar 2023
- Ref
- 18913807
- Job Function
- Hedge Funds
- Industry Sector
- Finance - General
- Employment Type
- Full Time
- Education
- Bachelors
Principal Responsibilities:
Required skills and experience
- Oversight of Treasury P&L
- Working with Operations and Fund Admin to settle and attribute PM costs.
- Planning Drafting trade tickets for the Treasury Portfolio (Bonds/FX/Futures/Money Markets/IRS Instruments
- Execution of Repo transactions.
- Oversight of outsourced collateral management processes and UMR collateral management
- Working closely with Business Development/Investor Relations and Fund Accounting to manage Subscriptions/Redemptions
- Manage Treasury Reporting processes including, Daily Cash Summary, Weekly Liquidity, Weekly Treasury Portfolio Summary of Holdings/Yields & Monthly Portfolio Analysis and Trade Suggestions
- Oversight of liquidity and cashflow across entities including Daily bank account reconciliation, Daily FX PB Settlements, Adhoc OTC payment settlements & Break resolution with Fund Admin/counterparties,
- Post-execution management of trades (operational tasks)
- FX residual balance repatriation at FXPBs
- Updating key documentation and portals; Banking/PB/Fund Admin User Access and Permissions, Cash Controls, LOA's, SSI's & Callback Contacts
- Facilitation of information and support to other departments including Investor Relations, Fund Accounting, Operations and Product Control
Required skills and experience
- Significant experience in a related role (Banking or Investment Management)
- Experience working within a Hedge Fund Treasury function, including Cash Management, PB management, Trade planning, and Repo trading.
- Experience of margin management, preferably with UMR experience.
- Proficient in Microsoft office i.e. Excel and Word.
- SQL and Orchestrade knowledge preferable.
- Proven experience in delivering Finance/Treasury system projects.
- Ability to work to deadlines, accuracy, and a high level of attention to detail.
- Familiarity with financial markets and assets, with experience in Bonds/FX/IRS/Repos.
- Excellent communication skills, including experience speaking to C-suite management and external relationship management.
- Ability to work in pressurized situations, prioritizing, and delegating workload.
- Experience with developing and improving controls and processes.