Our client, a leading global Hedge Fund is seeking a highly motivated and ambitious Treasury Analyst to join our team during an exciting period of growth. The Treasury team is responsible for maximising capital returns while safeguarding assets and enabling new trading opportunities. In this role, you will support the increasing complexity of our business by building scalable solutions to address evolving needs. This is a fantastic opportunity for a proactive individual eager to expand their technical and treasury expertise while gaining exposure to all aspects of Treasury and Trading.
Key Responsibilities
* Contribute to risk, trading, pricing, and optimisation analytics within the Treasury team.
* Support initiatives across all areas of Treasury, including cash management, margin calculation, broker balance optimisation, and financing charges.
* Liaise with financing counterparties to manage balance sheet utilisation and strategic funding requirements.
* Develop and maintain tools to improve treasury operations, analytics, and reporting.
* Design new visualisation methods to communicate key treasury metrics and insights effectively.
* Identify opportunities for process automation and optimisation, working with technology teams to implement improvements.
Key Requirements
* 2-4 years of experience in funding markets with exposure to external stakeholders.
* Proficiency in data manipulation using Python or SQL.
* A solid understanding of financial asset classes and associated financing considerations.