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An established industry player in alternative investments is seeking a key treasury hire in London. This pivotal role involves managing liquidity and cash forecasting while collaborating with senior stakeholders and the trading desk. The ideal candidate will bring over 6 years of experience in treasury management, demonstrating expertise in fund-level cash management and the use of treasury management systems. This is a fantastic opportunity to take on a leadership role in a high-pressure environment, driving liquidity strategies for a flagship business strategy. If you thrive in dynamic settings and have a passion for finance, this position is perfect for you.
We’ve partnered with a premier name within alternative investments on a search to identify a key treasury hire in London. This role sits in a business-critical seat, facing off to senior stakeholders and the trading desk.
The ideal candidate will have 6+ years of experience in a relevant role, with direct involvement in fund level cash management, liquidity forecasting, and use of a relevant TMS. Coverage of various fund vehicles is highly desired (closed and open ended, CLOs, SMAs etc). This hire will lead on all liquidity matters for the flagship strategy of the business; hence, candidates will need to have experience working in high pressure environments.
Liquidity and cash forecasting experience is a must, as well as buy-side experience.