Treasury Manager – Prime Brokerage / FX Dealer
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An accomplished, highly charismatic Treasury Manager with experience in Cash management, FX execution, Hedging, Capital & Treasury Management, Equity Secured Funding and Collateral Optimization.
Benefitting from a strong track record of enhancing financing P&L with efficient liquidity and collateral trading activities through analytics and data-driven decision making. P&L focused team player who understands funding, equities, fixed income, money markets, foreign exchange and interest rate derivatives.
Strong, resourceful and ambitious, a creative, strategic thinker working well in a fast paced environment and always looking to enhance capabilities and product usage. Builds trusting, respectful relationships with stakeholders at all levels, building, empowering and motivating high-performance, winning teams.
Trading & Execution Extensive experience across, FX Hedging, Cash management & Macro Markets
Treasury Management Balance sheet, capital & collateral optimization, liquidity & risk management
Capital Management Enhances ability to leverage & generate additional trades - LCR, NSFR & HQLA
Operations Management Meticulous planning & organization to ensure smooth running of operations
Process Improvement Defines new processes to improve desk capabilities and enhance trading ability
Stakeholder Engagement Engages & works with stakeholders in a constructive, collaborative relationship
People Management Collaborative leaderships of cross-functional teams across different regions
Strategy & Planning Leads design, development & implementation of robust & successful strategies
Master’s in finance Birkbeck University
BSc (Hons) in Economics & Business Finance Brunel University
CF30 – Securities & Financial Derivatives License