Liquidity & Treasury Risk Leader

Trading-21

Greater London

On-site

GBP 90,000 - 130,000

Full time

5 days ago
Be an early applicant
Application generator

A complete application in a minute — tailored resume and cover letter, ready to send.

Get past ATS filters

Benefits offered by this job

Growth opportunities
Impactful work
Flat team structure
No bureaucracy
Recognition
Annual bonuses

Job summary

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.

Qualifications

  • Five years’ + experience in Treasury, Risk or a liquidity-related role within a fast-paced, high-performance organisation.
  • Strong liquidity modelling skills, including cash-flow forecasting, stress testing and scenario analysis, supported by exceptional Excel skills.
  • Excellent working knowledge of MIFIDPRU and treasury risk management, with experience contributing to ICARA, ILAAP, wind-down planning or comparable assessments.
  • SQL and Python skills, a strong grasp of the latest AI tools, and the ability to interrogate data and challenge assumptions.
  • Clear, effective writing and communication skills, with experience producing policies and risk documentation and working with senior stakeholders.
  • Consistent delivery under pressure, with a strong sense of urgency, sound judgement and ownership.

Responsibilities

  • Build liquidity forecasts, stress tests and treasury risk models to inform funding, liquidity buffers and contingency planning, with clear documentation for second-line challenge.
  • Support day-to-day funding across group entities, including FX dealing, cash positioning and liquidity management.
  • Contribute liquidity analysis to ICARA, wind-down planning and other relevant risk assessments.
  • Own Treasury Risk and Control Self-Assessments (RCSAs), assess controls and drive remediation.
  • Write and maintain clear treasury policies and procedures.
  • Improve modelling, dashboards and reporting using Excel, SQL, Power BI, and AI tools.
  • Assess the liquidity and treasury risks of new products and business initiatives, presenting recommendations and escalating emerging risks.

Skills

Liquidity modelling
Excel
SQL
Python
Stakeholder communication
Risk management

Tools

Power BI
AI tools

Job description

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.

Get your free, confidential resume review.

or drag and drop your file here.

Similar jobs

Similar jobs worth comparing

Liquidity Strategy Lead — Treasury & Risk
Liquidity Strategy Lead — Treasury & Risk

Trading 212 Ltd • City Of London

On-site
GBP 90,000 - 140,000
Annual bonus
Generous remuneration package
Strategic Treasury & Liquidity Risk Manager
Strategic Treasury & Liquidity Risk Manager

Trading212 • Greater London

On-site
GBP 90,000 - 130,000
Annual bonuses
Flat, cross-functional team structure
Growth opportunities
Treasury Manager (Liquidity)
Treasury Manager (Liquidity)

Trading 212 Ltd • City Of London

On-site
GBP 90,000 - 140,000
Annual bonus
Generous remuneration package
Treasury Manager: Liquidity & Growth Strategy
Treasury Manager: Liquidity & Growth Strategy

Plum • Greater London

Hybrid
GBP 70,000 - 90,000
Stock options
Private health insurance
Annual training budget
+11
Treasury Manager (Liquidity)
Treasury Manager (Liquidity)

Trading-21 • Greater London

On-site
GBP 90,000 - 130,000
Growth opportunities
Impactful work
Flat team structure
+3
Treasury Manager (Liquidity)
Treasury Manager (Liquidity)

Trading212 • Greater London

On-site
GBP 90,000 - 130,000
Annual bonuses
Flat, cross-functional team structure
Growth opportunities
VP, Treasury Liquidity Analytics & Stress-Testing
VP, Treasury Liquidity Analytics & Stress-Testing

JPMorgan Chase • Greater London

On-site
GBP 70,000 - 120,000
Strategic Treasury: Funding & Risk Manager
Strategic Treasury: Funding & Risk Manager

Lucy Group • Oxford

On-site
GBP 90,000 - 120,000
Treasury Liquidity Analytics VP – Stress & Reporting
Treasury Liquidity Analytics VP – Stress & Reporting

JPMorganChase • Greater London

On-site
GBP 90,000 - 120,000
VP, Treasury Liquidity Analytics — Strategy & Reporting
VP, Treasury Liquidity Analytics — Strategy & Reporting

J.P. Morgan • Greater London

On-site
GBP 90,000 - 120,000