Treasury Implementation Manager
Send a job offer directly to this candidate
Liquidity & Funding Specialist with 10+ years' experience across Tier-1 banks, specialising in intraday liquidity and treasury management systems within regulated environments. Experienced in managing multi-billion daily payment flows across real-time settlement infrastructures, supporting effective liquidity positioning, operational resilience, and governance oversight. Delivers funding optimisation and process improvement initiatives through data-driven analysis and strategic decision-making.
Recognised for being analytical, adaptable, and collaborative, with strong stakeholder management skills. Maintaining a composed and methodical approach during intraday liquidity stress scenarios, supporting effective decision-making, operational resilience, and risk control in high-pressure environments.
Assistant Vice President, Intraday Liquidity Management - Barclays Bank PLC - London
(2019-11)
Managed Euro and Sterling liquidity across major clearing systems including TARGET2 and CHAPs acting as SME for Euro Liquidity management. Proven track record of optimising liquidity usage, reducing funding costs, and enhancing capital efficiency. Supervised and developed team members, delivering training to strengthen operational resiliency.
Partner to Treasury and Front Office, providing forecasting, risk insight, and scalable reporting to support liquidity planning, regulatory compliance, and trading activity.
Funding Analyst (Cash Management) - Barclays Bank PLC - London
(2015-02 - 2019-11)
Projecting expected funding requirements for the Front Office (Treasury & Securities) across multiple markets including Europe, Russia, Scandinavia and Middle- East and Africa and entities. Included monitoring cash balances across all nostros, providing timely reporting at a number of levels on balances and costs.
Securities Settlements Analyst - UBS - London
(2014-05 - 2015-01)
Manage the US Treasury Bond settlements via BONY; providing settlement confirmation, managing depot positions, calculation of stock borrowing requirements, producing end of day hand over and solving reconciliations. Manage the offshore teams for the Canadian and Latin American markets for Prime Brokerage and Stock Borrow Loan; from an onshore escalation standpoint.
Data Analytics Career Accelerator - London School of Economics - London
(2025-07 - 2026-03)
Alongside current role embarked on a practical and technical programme working on real world projects. Delivered end-to-end analysis on complex datasets using SQL, Python, and Excel to support data-driven decision-making across multiple business scenarios. Built interactive Tableau dashboards to communicate insights, improving stakeholder visibility into key performance trends.
Applied machine learning techniques (including ai-driven technology, regression, clustering, NLP) to develop predictive models and customer segmentation strategies, translating outputs into actionable business recommendations.
Data Analytics Career Accelerator - Data Analytics - London School of Economics (2025-07 - 2026-03)
Post Graduate Certificate in International Business - International Business - St Mary's University, New York (2013-03 - 2014-03)
LLB - Law - Queen Mary University of London (2007-09 - 2010-06)
A Levels - General Education - Herschel Grammar School Consortium, Slough, UK (2005-09 - 2007-06)