Treasury & FX Trader (Fixed-Term Contract)

Leapfrog Recruitment Consultants

Daliburgh

On-site

GBP 55,000 - 85,000

Full time

14 days+
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Job summary

Leapfrog Recruitment Consultants is seeking a Treasury professional for an established team on a fixed-term contract to the end of 2026. The role covers liquidity management, foreign exchange, pricing and Treasury investments, collaborating with colleagues across the business to manage risk and support commercial objectives.

You will monitor liquidity and risk, produce pricing across liability products and contribute to governance and controls while building strong relationships with internal

Qualifications

  • Treasury experience in a banking environment.
  • Strong numeracy and commercial mindset.
  • Excellent communication and stakeholder management abilities.
  • Experience with trading, derivatives, asset and liability management or Treasury investments would be advantageous.
  • Ability to work collaboratively in a small, commercially focused team.

Responsibilities

  • Support management of asset and liability activities with focus on liquidity and interest rate risk.
  • Monitor FX exposures and ensure positions stay within limits and risk appetite.
  • Produce and maintain interest rates and pricing across liability products.
  • Monitor Treasury risk positions daily and identify emerging exposures.
  • Manage surplus cash and liquidity through Treasury investments and asset purchases.
  • Support Treasury profitability through pricing, spreads and trading positions.
  • Collaborate with teams to achieve cash and liquidity targets.
  • Contribute to Treasury risk, controls and governance.

Skills

Treasury experience
Financial markets
Foreign exchange
Liquidity management
Risk management
Stakeholder management

Job description

Leapfrog Recruitment Consultants is seeking a Treasury professional for an established team on a fixed-term contract to the end of 2026. The role covers liquidity management, foreign exchange, pricing and Treasury investments, collaborating with colleagues across the business to manage risk and support commercial objectives.

You will monitor liquidity and risk, produce pricing across liability products and contribute to governance and controls while building strong relationships with internal

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