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Treasury Associate

Employer
Caxton Associates
Location
London, United Kingdom
Salary
Competitive Salary
Closing date
Nov 8, 2024
View more categoriesView less categories
Job Role
Treasury
Sector
Finance
Contract Type
Permanent
Hours
Full Time
About Caxton Associates:
Caxton Associates, founded in 1983, is a global trading and investment firm with offices in New York, London, Monaco, Singapore and Dubai. Caxton Associates’ primary business is to manage client and proprietary capital through a suite of products designed to fit the specific needs of investors. Employing a multi-portfolio manager framework, Caxton excels in discretionary global macro investing, leveraging its diversified expertise across asset classes and markets.

About the role:

We have an opportunity to hire a talented Treasury Associate to help manage the firm’s funding requirements, and optimise the Treasury portfolio.



Responsibilities:

  • Cash and liquidity management

o Daily cash management to facilitate margin/settlements and optimize cash returns

o Daily bank account reconciliation, and break resolutions.

o Daily OTC Settlements

o Responsible for cash controls
  • Produce treasury reporting for cash and liquidity management
  • Drafting trade tickets for the Treasury Portfolio (Bonds/FX/Futures/Money Markets/IRS Instruments)
  • Help oversee Treasury P&L and costs
  • Execution of Repo transactions
  • Manage FX exposures, and Duration on the Treasury Portfolio
  • FX residual balance repatriation at FXPBs
  • Oversight of margin management processes
  • Working closely with Business Development/Investor Relations and Fund Accounting to manage Subscriptions/Redemptions process
  • Post-execution management of trades (operational tasks)
  • Updating key documentation and portals
  • Banking/PB/Fund Admin User Access and Permissions
  • Facilitation of information and support to other departments including Investor Relations, Fund Accounting, Operations and Product Control

Requirements
  • 1-3 years of relevant financial services experience in a related role (banking/asset management)
  • Experience working within a Hedge Fund Treasury, Cash Management or Middle Office function
  • Experience of cash and margin management preferable
  • Familiarity with financial markets and assets, with knowledge of Bonds/FX/IRS/Derivatives/Repos.
  • Bachelor’s degree, as a minimum
  • Proficient in Microsoft office i.e. Excel and Word
  • SQL, Tableau and Orchestrade knowledge preferable
  • Experience in delivering Finance/Treasury system projects
  • Ability to work to deadlines, accuracy, and a high level of attention to detail
  • Good communication skills, with an ability to build internal and external relationships
  • Ability to work in pressurized situations, prioritising workloads
  • Experience with developing and improving controls and processes
  • Displays and operates at the highest degree of ethics and integrity.

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