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Trading-21 is seeking a highly analytical Treasury Manager to strengthen liquidity management and the treasury risk framework. You will work with Trading, Finance, Risk, Product and executives to forecast liquidity, perform stress tests and develop risk models.
The role involves day-to-day funding across group entities, FX dealing, cash positioning and contributing to ICARA and wind-down planning. Strong Excel, SQL, Python and Power BI skills are essential.
Trading-21 is seeking a highly analytical Treasury Manager to strengthen liquidity management and the treasury risk framework. You will work with Trading, Finance, Risk, Product and executives to forecast liquidity, perform stress tests and develop risk models.
The role involves day-to-day funding across group entities, FX dealing, cash positioning and contributing to ICARA and wind-down planning. Strong Excel, SQL, Python and Power BI skills are essential.