The Treasury Recruitment Company
Looking for your next contract or simply looking to gain experience in a market leading FTSE100?
We have just the thing!
You will responsible for the execution of FX deals and money market instruments across 25 currencies and multiple time horizons. You will manage the daily liquidity, including planning and execution and build and maintain strong relationships with the group’s banks.
Ideally qualified or working towards your ACT, with recent experience in a finance or treasury role, you will be of an enthusiastic nature, with a ‘get stuck in’ attitude and the ability to make a good brew!
If you are keen to discuss further, please get in touch.