Job description
Our client is a leading global multi-strategy investment firm with a strong quantitative and technology-driven approach. The business operates across equities, futures, options, FX, bonds and commodities, with teams across London, the United States and Abu Dhabi.
They are looking to hire into their Treasury Operations team, with responsibility across cash management, collateral, liquidity and broader treasury processes. The role will work closely with investment, trading and senior management teams in a highly collaborative and fast-paced environment.
The firm has grown significantly in recent years and offers strong long-term progression, broad exposure and excellent earning potential for high performers.
The ideal candidate will have over three years of experience across treasury, cash management or collateral management within a hedge fund or asset manager. Strong cross-asset exposure and experience working closely with trading or investment teams would be highly beneficial.
Extra information
- Status
- Open
- Education Level
- Secondary School
- Location
- London Area
- Type of Contract
- Full-time jobs
- Published at
- 20-09-2026
- Profession type
- Management
- Full UK/EU driving license preferred
- No
- Car Preferred
- No
- Must be eligible to work in the EU
- No
- Cover Letter Required
- No
- Languages
- English
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