You will assist in the developing and implementing of the Treasury Portfolio strategy.
You will also be involved in the FX sell down and share class hedging management. As well as trade tickets for the Treasury Portfolio (bonds/FX money market instruments, ad hoc strategies)
You will assist with oversight of Treasury P&L, costs, and daily cash levelling.
Working with Operations and Fund Admin to settle and attribute PM costs.
You will work closely with the Business Development/Investor Relations and Fund Accounting departments to manage subscriptions/redemptions
Assisting Break resolution with Fund Admin/counterparties
Facilitation of information and support to other departments including Investor Relations, Fund Accounting, Operation and Product Control
Required Knowledge, Skills, and Abilities
3 – 5 years of relevant financial services experience in a related sell side role
Knowledge of Treasury Operations practices, including cash management, payments, exchange, and bank reconciliations
Knowledge of Margin methodology across products is a plus (OTC/ETD clearing, UMR, PB margin frameworks)
Proficient in Excel including VBA macro
SQL knowledge preferable
In-depth knowledge of financial markets and assets, with experience in Rates/Credit/Equity