Treasury Banking Network Manager

Cantor Fitzgerald

Greater London

On-site

GBP 80,000 - 110,000

Full time

30 hours ago
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Job summary

Cantor Fitzgerald is recruiting a hands-on Treasury Banking Network Manager based in London. You will maintain and expand custody, clearing and cash‑bank relationships across EMEA and APAC, ensuring service quality, regulatory compliance and efficient operations across Treasury, Legal, Compliance, and Front‑Office teams.

You will lead RFPs, monitor SLAs, manage bank account lifecycle, and coordinate across functions to support strategic initiatives while maintaining robust KYC processes.

Qualifications

  • Proven experience in network management within treasury, custody or cash-management functions.
  • Strong existing network of industry contacts across EMEA and APAC.
  • Current knowledge of market practices, regulatory developments and operational risk expectations.

Responsibilities

  • Establish and maintain bank and custodial relationships, handling escalations, face-to-face meetings and agent-survey responses.
  • Develop and manage reporting on bank/custodian fees to assess competitiveness and service metrics.
  • Own the end-to-end bank account opening, closing and ongoing maintenance processes.
  • Lead the request-for-proposal (RFP) process for new business initiatives or operational improvements.
  • Monitor Service Level Agreements (SLAs) with key providers and escalate deficiencies affecting Treasury.
  • Implement board-approved signature lists and corporate documentation with agent banks.
  • Oversee due-diligence and annual KYC submissions for agents and counterparties.
  • Participate in network-management projects, including credit marketing, analytical analysis and acquisition integration.
  • Coordinate network-related actions across Treasury, Legal, Compliance, Operations and Front-Office teams.
  • Distribute market notifications and alerts on CSD, settlement and payment issues to stakeholders.

Skills

Network management
Stakeholder engagement
Regulatory knowledge
Communication
Analytical thinking
Multitasking
Problem-solving
Change influence

Tools

Kyriba
Claude
Microsoft Excel
Microsoft PowerPoint

Job description

Cantor Fitzgerald seeking a hands‑on Treasury Banking Network Manager. Based in London, you will be the primary contact for maintaining and developing custody, clearing and cash‑bank relationships across EMEA and APAC, ensuring service quality, regulatory compliance and operational efficiency while supporting Treasury, Legal, Compliance, Operations and Front‑Office initiatives.

Responsibilities
  • Establish and maintain bank and custodial relationships, handling escalations, face‑to‑face meetings and agent‑survey responses.
  • Develop and manage reporting on bank/custodian fees to assess competitiveness and service metrics.
  • Own the end‑to‑end bank account opening, closing and ongoing maintenance processes.
  • Lead the request‑for‑proposal (RFP) process for new business initiatives or operational improvements.
  • Monitor Service Level Agreements (SLAs) with key providers and escalate deficiencies affecting Treasury.
  • Implement board‑approved signature lists and corporate documentation with agent banks.
  • Oversee due‑diligence and annual KYC submissions for agents and counterparties.
  • Participate in network‑management projects, including credit marketing, analytical analysis and acquisition integration.
  • Coordinate network‑related actions across Treasury, Legal, Compliance, Operations and Front‑Office teams.
  • Distribute market notifications and alerts on CSD, settlement and payment issues to stakeholders.
Qualifications
  • Proven experience in network management within treasury, custody or cash‑management functions.
  • Strong existing network of industry contacts across EMEA and APAC.
  • Current knowledge of market practices, regulatory developments and operational risk expectations.
  • Excellent interpersonal and communication skills, able to engage all organisational levels.
  • Advanced Excel and PowerPoint abilities, including data visualisation and presentation.
  • Hands‑on experience with treasury systems such as Kyriba and familiarity with Claude.
  • Demonstrated project‑management and organisational skills with the ability to multitask under tight deadlines.
  • Self‑motivated, proactive problem‑solver with a creative, challenge‑oriented mindset.
  • Confident, articulate and engaging personality capable of frank yet fair discussions.
  • Ability to work in a fast‑paced environment and influence change across multiple functions.
Job Info
  • Job Identification 249968
  • Posting Date 09/16/2026, 12:45 PM
  • Locations Five Churchill Place, London, Canary Wharf, E14 5HP, GB
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