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Contract Treasury Dealer - 6 months

This role involves a temporary position as a Treasury Dealer for a period of six months, with locations in Guernsey, Jersey, and London. This full-time position demands an entrepreneurial spirit and a proactive approach to support the growth and profitability of the business. The successful candidate will maintain a solid understanding of the regulatory environment, ensuring compliance with internal policies and procedures. Responsibilities include managing the Bank’s Asset and Liability Management (ALM) activities, overseeing foreign exchange risk, producing interest rates and pricing, and optimising Treasury profitability. Daily monitoring of Treasury risk positions will be essential, along with collaborating with various teams to enhance client relationships and service levels.

Job Duties:

  • Maintain a strong understanding of the relevant regulatory environment and ensure compliance with internal requirements.
  • Support effective management of the Bank's Asset and Liability Management activities, focusing on liquidity and interest rate risk.
  • Manage and monitor the Bank's foreign exchange risk, keeping exposures within approved limits.
  • Produce, maintain, and control interest rates and pricing for the Bank's liability products.
  • Collaborate with liability-gathering teams across all jurisdictions to achieve cash and liquidity targets.
  • Monitor Treasury risk positions daily, identifying and managing exposures proactively.
  • Manage surplus cash and liquidity efficiently while balancing liquidity, risk, and regulatory needs.
  • Drive optimisation of Treasury profitability through effective management of client pricing and trading positions.
  • Contribute to the development of the Treasury risk management framework, ensuring robust controls and governance.
  • Work collaboratively with IBP Central Treasury and other stakeholders to support wider Treasury strategies.
  • Provide Treasury expertise to support new and existing client relationships and deliver appropriate solutions.
  • Maintain high levels of service to both internal and external clients, building strong, trusted relationships.

Job Requirements:

  • Treasury/financial markets experience.
  • Highly numerate with strong decision-making skills.
  • Excellent client interface and interpersonal skills.
  • Experience in foreign exchange and interest rate trading.
  • Knowledge of derivative product trading and development.
  • Strong analytical skills related to economic and financial markets.

What You’ll Love:

This role offers the chance to be part of a distinctive financial services group that values out-of-the-ordinary thinking. Team members are encouraged to develop their skills in a supportive and inclusive environment that prioritises professional growth. The organisation actively seeks diverse talent and fosters an atmosphere where everyone feels respected and empowered to contribute. Ample training and career development opportunities are provided, ensuring a rewarding career journey.

Interested? Register today, confidentially, with one of our friendly and dedicated recruitment specialists by clicking here