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Corporate Treasury - Liquidity Manager

JR United Kingdom

Crawley

On-site

GBP 70,000 - 110,000

Full time

4 days ago
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Job summary

A leading international bank seeks a Liquidity Manager to join its corporate treasury team in Crawley. The successful candidate will manage liquidity risks, engage with stakeholders, and conduct financial analyses, while gaining exposure to strategic initiatives within a dynamic banking environment.

Qualifications

  • Experience in corporate treasury liquidity management.
  • Familiarity with LCR, NSFR, RLAPS, and CRD IV regulations.
  • Understanding of Treasury and Derivatives.

Responsibilities

  • Lead liquidity management for key risk drivers.
  • Manage internal and external stakeholders effectively.
  • Conduct stress testing of derivatives portfolios and regulatory reviews.

Skills

Communication
Negotiation
Risk Management

Education

Degree in Finance or related field

Job description

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Corporate Treasury - Liquidity Manager, Crawley, West Sussex

Client: Pure Search

Location: Crawley, West Sussex, United Kingdom

Job Category: Other

EU work permit required: Yes

Job Views:

2

Posted:

06.06.2025

Expiry Date:

21.07.2025

Job Description:

This VP position joins the corporate treasury team for a major international bank.

Responsibilities include:

  • Identifying key business drivers, leading liquidity management for key risk drivers, and working with the team to mitigate and minimise risks.
  • Managing stakeholders both internally and externally, requiring strong communication and negotiation skills.
  • Stress testing and analysis of derivatives portfolios, reviewing regulatory liquidity submissions, participating in regulatory reviews, and partnering with wider teams across the bank to execute strategic deliverables.

The team is responsible for Liquidity, Funding, IRBB, and FTP management. Working closely with the Director and SVP, this role offers exposure and learning opportunities from the outset.

This position is suitable for aspirational AVPs or junior VPs eager to learn about managing Broker-Dealer liquidity. The candidate must have existing experience in banking within a corporate treasury liquidity management role, with specific experience in managing and optimising trades and balance management.

Knowledge of key concepts such as LCR, NSFR, RLAPS, and CRD IV liquidity regulations is required, along with familiarity with Treasury, SFT, Derivatives, and Prime Finance products.

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