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A leading company in alternative investments is seeking a Treasury/Liquidity Manager in London. The role involves critical treasury functions, including cash management and liquidity forecasting, requiring over 6 years of relevant experience and the ability to thrive in high-pressure environments.
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Location: London, United Kingdom
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5
12.05.2025
26.06.2025
We’ve partnered with a premier name within alternative investments on a search to identify a key treasury hire in London. This role is critical, interacting with senior stakeholders and the trading desk.
The ideal candidate will have at least 6 years of relevant experience, including fund-level cash management, liquidity forecasting, and proficiency with a relevant Treasury Management System (TMS). Experience covering various fund vehicles such as closed and open-ended funds, CLOs, and SMAs is highly desirable. This hire will oversee all liquidity matters for the company's flagship strategy; therefore, candidates must have experience working in high-pressure environments.
Essential skills include liquidity and cash forecasting, as well as buy-side experience.