Senior Treasury Manager
Barclay Simpson · London Area, United Kingdom
Apply & track with Apply EdgeSenior Treasury / Treasury Dealer (Execution, Hedging, Collateral) – Buy-side environment | LondonAn FCA-regulated treasury services business within a wider buy-side ecosystem is expanding and hiring a true “number two” to support the Head of Treasury. This is a growth hire into a lean, high-performing team (4 in London, 2 offshore) where you’ll gain genuine breadth and visibility, with significant runway as the platform scales.The opportunityThis is not a narrow, siloed role. The team “does a bit of everything” across execution, hedging, financing, cash management, and collateral/margin. You’ll take ownership in a role that is both technically demanding and highly client-facing, with direct dialogue with senior stakeholders.Key responsibilities (broad remit)- Execution across FX and fixed income products (bonds/bills etc.)- P&L hedging and share class hedging (error-free delivery is critical)- Cash management and day-to-day treasury activity supporting clients- Margin and cash collateral management (including bilateral and cleared)- Working with industry-standard margin/collateral platforms (e.g. TriMargin)- Working in an automation-led environment (process is highly automated; Python scripts are used to generate/drive execution activity – no expectation to be a high-level coder, but you must be comfortable with what coding/AI can do and be able to engage with it)- Front-office style client interaction: explaining the “why” behind actions and responding to challenge/pushback from senior client contactsWhat they’re looking for- Versatile treasury profile with genuine breadth (not someone who’s only ever done one silo, e.g. purely collateral at a bank)- Prior execution experience: must have traded FX and/or fixed income products previously- Holds the relevant trading certificate/exams to execute FX and fixed income products (a refresher is fine if previously held)- Strong understanding of hedging, cash management, and collateral/margin mechanics- Confident communicator (this person will represent the function in front of senior internal and external stakeholders)Backgrounds of interest- Buy-side treasury desks (funds / asset managers)- Mid-level treasury dealing / markets professionals from banks who want broader responsibility and buy-side exposureIf you’re looking for a seat with real breadth, high accountability, client exposure, and a clear growth story, this is a standout “number two” treasury hire.