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Assistant Vice President Cash Funding

MUFG Americas

Greater London

On-site

GBP 60,000 - 80,000

Full time

Yesterday
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Job summary

A leading financial services company in Greater London is seeking an experienced individual to manage the Cash Funding and Liquidity Management processes. You will collaborate with various internal teams and ensure that all funding requirements are met efficiently. Ideal candidates will have a strong background in investment banking flows, excellent communication skills, and a proactive approach. The role demands flexibility and strong problem-solving abilities. This position offers competitive remuneration and growth opportunities.

Benefits

Flexible working requests
Diversity and inclusion commitment

Qualifications

  • Strong understanding of end-to-end operational process flows across financial products.
  • Extensive Cash Funding and Liquidity Management experience, preferably with a background in upstream processes.
  • Demonstrable time management and stakeholder management skills.

Responsibilities

  • Manage the Cash Funding and Liquidity Management process for MUSE and MUS(EU) balance sheets.
  • Ensure credit lines are monitored to prevent settlement blockages.
  • Collaborate with the TRY desk for funding requirements.

Skills

Operational Process Knowledge
Technical Proficiency in Excel
Communication Skills
Stakeholder Management
Analytical Thinking

Tools

Microsoft Excel
Microsoft Word
Job description

Do you want your voice heard and your actions to count?

Discover your opportunity with Mitsubishi UFJ Financial Group (MUFG), one of the world’s leading financial groups. Across the globe, we’re 150,000 colleagues, striving to make a difference for every client, organization, and community we serve. We stand for our values, building long‑term relationships, serving society, and fostering shared and sustainable growth for a better world.

With a vision to be the world’s most trusted financial group, it’s part of our culture to put people first, listen to new and diverse ideas and collaborate toward greater innovation, speed and agility. This means investing in talent, technologies, and tools that empower you to own your career.

Join MUFG, where being inspired is expected and making a meaningful impact is rewarded.

The EMEA Operations department supports MUFG’s core products and services including Banking (commercial/retail based payments, loans, derivatives, trade finance) and Securities (Derivatives, FX, Fixed Income, Equity etc). The role of Operations is to manage the interaction between Operations and MUFG’s internal clients (Front Office, Trading Desks etc) and has close ties with other support areas such as Legal, Compliance, Risk etc

MAIN PURPOSE OF THE ROLE

The main purpose of this role is to manage the Cash Funding and Liquidity Management process on behalf of the MUSE and MUS(EU) balance sheets.

In addition the role demands high level external client focus in order to efficiently satisfy their diverse range of requirements and provide a service which out performs our immediate competitors.

The role demands flexibility between tasks, attention to detail and the ability to perform a diverse multitude of pre execution tasks to support our internal and external client needs and requires strong Fixed Income and Equity experience and a clear understanding of front to back transaction trade flows and the associated controls (i.e. reconciliations).

KEY RESPONSIBILITIES

Specifically, will be accountable and responsible for taking appropriate action with respect to the Company’s and Operations - Cash Funding ,
including:

  • Act as BAU SME, identify funding requirements and instruct realignments accordingly without the introduction of operations risk.
  • Ensure credit lines are monitored regularly to prevent settlement blockages
  • Ensure all funding requirements are complete ahead of currency deadlines
  • Constantly monitor process and controls for process enhancements
  • Support post settlement investigations process for ex, issue claims where failed settlement results in OD costs incurred
  • Ensure Large Exposure Limits are monitored and mitigating action is taken to avoid potential breaches
  • Collaborate with TRY desk to communicate funding requirements
  • Play a supporting role in delivering ongoing project to replace existing funding process with vendor led Intraday liquidity management system
WORK EXPERIENCE

Work Experience:

  • Strong Product knowledge and F2B Process understanding of Investment Banking flows
  • Extensive Cash Funding and Liquidity Management experience preferably with a strong background in upstream processes such as settlements
  • Demonstrable stakeholder management skills
  • Demonstrable time management skills
SKILLS AND EXPERIENCE
  • Operational Process Knowledge: Strong understanding of end‑to‑end operational process flows across financial products and markets.
  • Technical Proficiency: Advanced skills in Microsoft Excel and Word, supporting data analysis, reporting, and documentation.
  • Communication Skills: Excellent written and verbal communication abilities, enabling clear and effective interaction with stakeholders at all levels.
  • Stakeholder Management: Proven ability to manage relationships with internal and external stakeholders, ensuring alignment, transparency, and timely resolution of issues.
  • Analytical Thinking: Technical mindset with a focus on investigating and resolving complex issues efficiently and accurately.
PERSONAL REQUIREMENTS
  • Excellent communication skills
  • Strong Reconciliation mindset
  • Results driven, with a strong sense of accountability
  • A proactive, motivated approach.
  • The ability to operate with urgency and prioritise work accordingly
  • Strong decision making skills, the ability to demonstrate sound judgement
  • A structured and logical approach to work
  • Strong problem solving skills
  • A creative and innovative approach to work
  • Excellent interpersonal skills
  • The ability to manage large workloads and tight deadlines
  • Excellent attention to detail and accuracy
  • A calm approach, with the ability to perform well in a pressurised environment
  • Excellent Microsoft Office skills

This advert will close on 27th January 2026

We are open to considering flexible working requests in line with organisational requirements.

MUFG is committed to embracing diversity and building an inclusive culture where all employees are valued, respected and their opinions count. We support the principles of equality, diversity and inclusion in recruitment and employment, and oppose all forms of discrimination on the grounds of age, sex, gender, sexual orientation, disability, pregnancy and maternity, race, gender reassignment, religion or belief and marriage or civil partnership.

We make our recruitment decisions in a non‑discriminatory manner in accordance with our commitment to identifying the right skills for the right role and our obligations under the law.

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