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Senior Manager – Financial and Treasury Risk

Harvey John Recruitment

City Of London

On-site

GBP 80,000 - 100,000

Full time

Today
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Job summary

A growing consultancy firm in the City of London is seeking a Senior Manager – Financial and Treasury Risk. You will manage treasury and risk management assignments while developing analytical tools and relationships with clients. The ideal candidate should have over 7 years of experience, a strong quantitative skillset, and the ability to present complex information clearly. Fluency in another European language is a plus.

Qualifications

  • Typically 7+ years of experience in treasury and risk management.
  • Ability to implement risk management strategies.
  • Fluency in a major European language, in addition to English, is advantageous.

Responsibilities

  • Manage and support on treasury and risk management assignments.
  • Develop bespoke analytical tools for multi-asset assignments.
  • Work with developers to integrate analytical tools for clients.

Skills

Treasury and risk management experience
Quantitative / modelling skillset
Relationship building with stakeholders
Knowledge of financial derivatives
Job description
Senior Manager – Financial and Treasury Risk

Fantastic opportunity for an experienced Treasury or Risk Management professional to progress their career with a growing consultancy firm. As a Treasury Consultant, you will be working in a fast paced and extremely varied role that will offer exposure to all areas of risk management within differing treasury environments.

Responsibilities
  • Manage and support on treasury and risk management assignments
  • Develop bespoke analytical tools for multi-asset assignments
  • Develop multi-asset cross correlated simulation engines
  • Work with developers to integrate various bespoke analytical tools for clients
  • Work with Risk Management team to enhance capabilities for fund level FX hedging
  • Develop relationships with both existing and potential clients
Requirements
  • Strong treasury and risk management experience (typically 7+ years), including hands‑on responsibility for the development of interest and/or foreign exchange strategies
  • Ability to understand the financial risks of a business, and to implement an appropriate risk management strategy
  • In‑depth knowledge of different types of financial derivatives
  • Strong quantitative / modelling skillset, along with an ability to convey information in non‑technical terms
  • Ability to build relationships with and present to senior stakeholders
  • Experience acquired in the banking sector would be advantageous, although corporate treasury and/or consulting experience focused on risk management strategies would also be acceptable
  • Willingness to travel, together with a strong desire to learn and develop professionally
  • Fluency in a major European language, in addition to English, would be advantageous

Harvey John is acting as an Employment Agency in relation to this vacancy. The salary bracket advertised is FTE, for guidance only. We are committed to continued improvement in terms of diversity and inclusion practices. Please get in touch with any questions concerning reasonable adjustments, accommodations, or diversity practices.

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