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A leading financial services firm in the United Kingdom seeks a Treasury professional to manage liquidity and collateral processes while ensuring compliance with regulations. You will be responsible for monitoring investments, improving Treasury analytics, and supporting Clearing Members. Candidates should have a degree in a relevant field and at least one year of finance experience. Strong skills in SQL and Tableau will be beneficial. This role offers a dynamic work environment focused on continuous improvement.
Job Description
Intercontinental Exchange (NYSE:ICE) is a Fortune 500 company that operates a leading network of global futures, equity and equity options exchanges, as well as global clearing and data services across financial and commodity markets.
By putting the needs of our customers and global participants first, we are a high-growth company that started by bringing transparency and risk management to the global derivatives markets. We’re engineers, strategists and problem-solvers who continually create and improve technology that solves market structure challenges on behalf of the industry.
Treasury is a department in a systemically important organization; the team is responsible for managing the collateral and liquidity position in the Clearing House including:
Managing investments of ICEU capital and cash collateral from Clearing Members
Managing the Clearing House liquidity profile and liquidity stress testing framework
Coordination with Clearing Members, commercial banks, investment managers, custodians and regulators
Managing all member payments and receipts, and all bank accounts
Ensuring all collateral reconciliation and reporting analyses are performed on a daily basis
Liaising with other departments including Operations, Risk, Finance, and Technology
Working with Product Managers and Business Analysts to build new capabilities, streamline and automate processes and enhance reporting
Ensuring compliance with all applicable regulatory requirements and procedures
Treasury team covers multiple currencies and markets, and this role will be coordinated around UK market timings. The role incorporates both daily routine risk management and operational processes, strategic product development and project work and regulatory submissions.
ICE Clear Europe staff demonstrate a high level of integrity and professionalism throughout their work and lead by example to create a collaborative and supportive culture.
The candidate should be able to learn and understand processes quickly, identify improvements, collaboratively develop and clearly communicate proposals and then implement solutions in order to solve problems and enhance the performance of the department. Specific personal characteristics will include a strong desire to deliver results in a dynamic and forward-looking environment and an eagerness to continuously develop through working as part of the Treasury team and self-initiated learning.
Monitor the full life-cycle of collateral through the Clearing House, assisting with the placement of cash into high quality, low risk investments across multiple currencies
Monitor market conditions across currencies to ensure safety of principal and liquidity
Provide support to our Clearing Members and respond to queries
Identify opportunities for business process improvements by reviewing existing Treasury processes and procedures
Work on strategic projects in collaboration with Business Analysts to document requirements and deliver enhancements
Understand the broad macro and regulatory environment in UK, EU and US to help internal as well as external partners Complete periodic tasks in areas such as audit, finance, onboarding, and reporting
Assist with project management of a large body of tactical and strategic projects
Work on improving Treasury related analytics and reporting built in Tableau
1+ years’ experience in Finance
Degree in a Business, Finance, Economics, Statistics or Engineering
Organized and motivated with excellent attention to detail
Strong interpersonal skills, including ability to multi-task and operate effectively under tight deadlines
Strong quantitative and analytical skills
Reliability, flexibility and high work ethic
Experience with SQL or Tableau for data analysis and reporting
Proficient in all MS applications, high level of experience with Excel
Basic understanding in Clearing, Derivatives, Bond Markets Commodities and FX
Strong project management skills
Familiar with Financial Market Infrastructure including payments and SWIFT, collateral settlements and clearing