Treasury Manager (Liquidity)
Our mission is to enable everyone to build wealth.
We reinvent how trading and investing work by creating exceptional products people love. Fostering a culture of excellence and high velocity is the key to our success.
Role Overview
We’re looking for a highly analytical, data-driven Treasury Manager to strengthen our liquidity management and treasury risk framework, working closely with Trading, Finance, Risk, Product and executive stakeholders.
What you’ll do
Build liquidity forecasts, stress tests and treasury risk models to inform funding, liquidity buffers and contingency planning, with clear documentation for second-line challenge.
Support day-to-day funding across group entities, including FX dealing, cash positioning and liquidity management.
Contribute liquidity analysis to ICARA, wind-down planning and other relevant risk assessments.
Own Treasury Risk and Control Self-Assessments (RCSAs), assess controls and drive remediation.
Write and maintain clear t
