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Treasury Portfolio Manager (HQLA focus)

Empirical Search

London

On-site

GBP 70,000 - 110,000

Full time

3 days ago
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Job summary

A financial services firm is seeking a Treasury Portfolio Manager focused on HQLA to manage investment strategies. You'll be responsible for quantitative analysis, portfolio management, and collaboration with Risk functions to monitor risks and ensure compliance. A background in UK and European Fixed Income markets is essential.

Qualifications

  • Strong quantitative skills with a professional qualification in a quantitative field.
  • Experience in UK and European Fixed Income markets.
  • Good understanding of macroeconomic drivers and market risks.

Responsibilities

  • Management and development of investment strategy for Treasury’s HQLA portfolios.
  • Monitoring of portfolio performance and providing regular market updates.
  • Helping produce the Bank’s ILAAP, ICAAP, and RRP.

Skills

Quantitative skills
Problem solving
Data analysis

Education

Professional qualification in a quantitative field

Tools

VBA
SQL
Python

Job description

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Treasury Portfolio Manager (HQLA focus), London

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Client:

Empirical Search

Location:

London, United Kingdom

Job Category:

Other

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EU work permit required:

Yes

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Job Reference:

1acbd34f6400

Job Views:

5

Posted:

02.06.2025

Expiry Date:

17.07.2025

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Job Description:

Role Description

  • Management and development investment strategy for Treasury’s HQLA portfolios
  • Production of limit request papers, ensuring that accounting, capital and liquidity impacts are well understood amongst team and key stakeholders
  • Developing and executing stress testing for the various asset classes within the portfolio
  • Work closely with the Risk function to ensure risk appetite is correctly managed
  • Assisting with the production of the Bank’s ILAAP, ICAAP and RRP
  • Monitoring of portfolio performance and providing regular market updates and MI to senior management and stakeholders
  • Maintaining and developing relationships with external counterparties and brokers
  • Involvement with ad-hoc projects and contributing to the continued development of the Treasury Management System

Role Requirements

  • Professional qualification in a quantitative field or equivalent experience
  • Experience in credit modelling and analysis in UK and European Fixed Income markets, particularly in SSAs, Covered Bonds and ABS
  • Good understanding of macroeconomic drivers and their impact on market and credit risks
  • Experience of money markets and repo markets helpful
  • A problem solver with strong quantitative skills
  • The ability to explain complex topics to a broad audience
  • A keen interest in data and analysis (VBA, SQL or Python knowledge helpful)
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