- An exciting opportunity to join a well-established financial services firm.
- Offering great benefits including excellent career progression.
About Our Client
The company is a large organisation within the financial services industry. With a global presence, they are recognised for their commitment to innovation and excellence in the financial sector.
Job Description
The key responsibilities for the role are:
- Manage and optimise the bond and treasury portfolio.
- Monitor and evaluate market trends to identify investment opportunities.
- Develop risk management strategies to protect the company's financial position.
- Coordinate with internal stakeholders to manage liquidity and capital resources.
- Ensure compliance with regulatory requirements and internal policies.
- Prepare regular reports on portfolio performance and market conditions.
- Collaborate with the accounting team to ensure accurate financial reporting.
- Participate in strategic financial planning and decision making.
The Successful Applicant
A successful Treasury and Bond Portfolio Manager should have:
- A strong academic background in finance, economics, or a related field.
- Proven experience in treasury and bond portfolio management.
- Excellent analytical skills and a strategic mindset.
- Strong knowledge of financial markets and investment strategies.
- Proficiency in financial software and data analysis tools.
- High ethical standards and professionalism.
- Excellent communication and negotiation skills.
What's on Offer
- A supportive and collaborative work environment.
- Opportunities for professional growth and development.
- A comprehensive benefits package.
- The chance to work in the heart of London, one of the world's leading financial centres.