Treasury Dealer
Salary:
£50 - 60 pa
Work Type:
Permanent
Location:
London
Close Date:
02/10/2026
About The Role
Our client is an established UK bank, looking to expand their Treasury team with a Financial Markets professional. The Treasury Dealer will support our client's liquidity, funding, and investment strategies - including interest rates/FX swaps and HQLA portfolio management.
Responsibilities
- Executing treasury products, including interest rate/FX swaps, money market investments, fixed income securities, and repo transactions
- Contribute to liquidity and funding strategy, alongside ALM team
- Management of interest rate and FX hedging portfolios
- Monitoring financial markets, yield curves, interest rate expectations, and macroeconomic development
- Management of HQLA portfolio, in line with regulatory requirements and risk appetite
Requirements
- 1-3 years experience in Treasury front office within a bank
- Experience executing treasury products (interest rate derivatives, repo transactions, fixed income securities, money market investments)
- Degree in a numerate/quantitative subject
- Strong interest in financial markets and macroeconomics