SonicJobs Logo
Left arrow iconBack to search

Liquidity & Collateral Analyst

CMC Markets
Posted 5 hours ago, valid for 24 days
Location

London, Greater London EC2V7NQ, England

Salary

£24,000 - £28,800 per annum

info
Contract type

Full Time

By applying, a Reed account will be created for you. Reed's Terms & Conditions and Privacy policy will apply.

Sonic Summary

info
  • CMC Markets is seeking a Liquidity and Collateral Analyst to manage Treasury Liquidity and Collateral Management processes in Europe and the UK.
  • The position requires relevant experience in liquidity and collateral management and offers a salary of £50,000 to £60,000 per year.
  • Candidates should possess knowledge of funding markets and capital markets qualifications such as IMC, CISI Capital Markets, or CFA.
  • The role involves onsite work in the London office five days a week and emphasizes collaboration with Finance, Risk, and Trading teams.
  • Successful applicants will have a strong attention to detail and a desire to learn and grow within a dynamic financial institution.

We are looking to hire a suitably skilled Liquidity and Collateral Analyst to ensure that all aspects of its Treasury Liquidity and Collateral Management processes in Europe and the UK are met.

The role will report into the Treasury Manager and offers the holder a real opportunity for growth and development in a number of Treasury, Finance and Risk areas.

Please note that we operate onsite working and would require someone in the London office 5 days per week.

ROLE AND RESPONSIBILITIES:

  • Daily collation and management of firmwide liquidity, working closely with Finance, Risk and Trading to ensure the firm is appropriately funded.
  • Collateral management across OTC and exchange derivative agreements.
  • Margin optimisation, including detailed analysis of margin consumption and reduction strategies.
  • Execution and risk management of the firm’s Treasury STIR trading book across FX and money market instruments to ensure currency and interest rate risk are sufficiently hedged.
  • Co-ordinating internal and external corporate payment queries/investigations.
  • Gathering and presenting data (such as the interest rates being paid on CMC’s bank accounts) where required.
  • Significant input into Treasury project work, including strategy and testing.
  • Production of MI for review.
  • When dealing with all customers, clients or colleagues, ensure that we provide a clear, fair and consistent high-quality service that presents a professional and positive image of CMC Markets.

KEY SKILLS AND EXPERIENCE

  • Relevant experience in liquidity and collateral management
  • Knowledge of funding markets with specific experience in FX and money markets
  • Capital Markets qualifications such as IMC, CISI Capital Markets, CFA etc.
  • Suitability to be an FCA SMCR Certification Function
  • Proficient in use of Excel and VBA
  • Attention to detail with a curious and inquisitive approach
  • Ability to build relationships and work closely with other teams to achieve objectives
  • Desire to learn, develop and work within a challenging and changing Financial Institution

CMC Markets is an equal opportunities employer and positively encourages applications from suitably qualified and eligible candidates regardless of gender, sexual orientation, marital or civil partner status, gender reassignment, race, colour, nationality, ethnic or national origin, religion or belief, disability or age.

Apply now in a few quick clicks

By applying, a Reed account will be created for you. Reed's Terms & Conditions and Privacy policy will apply.