SonicJobs Logo
Left arrow iconBack to search

Treasury Dealer - Fixed Income

Goodman Masson
Posted 3 days ago, valid for 22 days
Location

London, Greater London SW1A2DX, England

Salary

£75,000 - £90,000 per annum

Contract type

Full Time

By applying, a CV-Library account will be created for you. CV-Library's Terms & Conditions and Privacy Policy will apply.

Sonic Summary

info
  • A well-known international bank in London is seeking an experienced Fixed Income Treasury Dealer to join their team of four.
  • The role requires a minimum of 4 years of experience within a banking treasury team and offers a competitive salary.
  • Key responsibilities include executing fixed income transactions, identifying new Eurobonds, and ensuring compliant execution of Treasury bond deals.
  • Candidates should possess strong knowledge of fixed income products and have a keen interest in financial markets, with additional experience in ALM and FX being advantageous.
  • This position presents a unique opportunity to contribute to a respected institution with a strong market presence and potential for professional growth.

I am currently working with a well-known international bank in search of an experienced Fixed Income Treasury Dealer to join their London team of four.

Reporting into the Head of Treasury, and working alongside two colleagues at Analyst & Senior Manager level, this is a varied role that will involve:

  • Execute fixed income broking transactions within banks risk framework and regulatory limits
  • Identify new Eurobonds for the bank's investment book and prepare business case/credit documents for Group Risk approval.
  • Ensure efficient and compliant execution of Treasury bond deals, including confirmation, settlement, and recording.
  • Understand and manage capital utilisation within the Fixed Income business model to ensure sufficient funding.
  • Stay informed on international financial, economic, political, and social trends and assess their impact on credit and interest rates.
  • Monitor the economic environment and financial market developments to identify potential risks and opportunities.
  • Implement and execute trading strategies as directed by the Head of Treasury.
  • Maintain and enhance Front Office processes, procedures, and controls in line with regulatory requirements.
  • Act as the First Line of Defence in risk management, anticipating and managing operational risks.
  • Oversee KYC processes to ensure compliance before conducting business with new clients.

To be a good fit, you will have:

  • 4+ years of experience within a banking treasury team
  • Strong knowledge of fixed income products - you will be the teams SME.
  • A keen eye for process improvement and desk development
  • An active and demonstrable interest in financial markets
  • Knowledge and experience in ALM and FX would be an advantage

This is a rare opportunity to join an institution with an impressive history of growth and a great mix of having a strong presence in their market but also lots of opportunity to grow and develop their offering further.

If this sounds like it could be a good fit for you, please apply via this advert or to be fast tracked email your CV along with a brief covering note to (url removed) and I will be in touch.

In our company values we aim for equity at all stages of the recruitment process, please let us know if we can do anything to make the process more accessible to you.

Apply now in a few quick clicks

By applying, a CV-Library account will be created for you. CV-Library's Terms & Conditions and Privacy Policy will apply.