Beschreibung:
Join us as a Short-Term Markets Manager
* If you bring excellent Short-Term Markets (STM) knowledge, trading experience, and market risk management skills, this is a great opportunity to grow and build meaningful relationships across our bank
* You'll support our STM business, with responsibility for cash management, risk management, and ensuring adherence to liquidity metrics
* You can expect to enjoy an engaging and fast-paced environment, as well as considerable stakeholder interaction
* This is a office first role, and you'll spend at least four days a week on site at our London office
What you'll do
As an STM Manager, you'll contribute significantly to the management and delivery of the STM portfolio, making sure that the business operates within the defined risk appetite and that the customer proposition is fully supported.
We'll also expect you to help manage relationships with financial organisations, brokers, central banks, and regulators, while collaborating with colleagues across our bank.
Additionally, your key responsibilities will include:
* Contributing to activities aligned with STM dealing authority across a range of currencies
* Managing the short-term funding profile across multiple entities and currencies, executing FX swaps, and ensuring credit and liquidity limits are adhered to
* Overseeing and managing interest rate risk across multiple entities and currencies, ensuring adherence to desk-defined limits
* Setting pricing, issuing, and hedging all short-term debt issuance across ECP, US CP, CDs, and deposits
* Monitoring P&L, liquidity, and other performance indicators
* Identifying and executing strategies to optimise performance, in collaboration with wider Treasury and bank franchises
* Contributing to the control environment and the efficient running of the department, including supervising activities where appropriate
The skills you'll need
We're looking for a strategic thinker with a good understanding of Treasury, Risk, Strategy, and Finance functions, as well as market-facing experience. You'll also need to have knowledge of capital, funding and liquidity management, interest rate risk, and FX management.
Furthermore, you'll need to demonstrate:
* Experience in managing relationships with various stakeholders across multiple business lines
* Strong influencing and negotiation skills, with the ability to collaborate effectively across the bank
* The ability to challenge opinions, offer alternatives, and construct compelling arguments to support a point of view
* The ability to work accurately under pressure, with strong attention to detail
* A motivated and proactive approach to work, with the ability to drive change in an environment of continuous improvement
Hours35
Job Posting Closing Date:15/05/2026
Ways of Working:Office First
| Quelle: | Website des Unternehmens |
| Datum: | 07 Mai 2026 (geprüft am 10 Mai 2026) |
| Stellenangebote: | Job |
| Bereich: | Banken / Finanzen |
| Sprachkenntnisse: | Englisch |