





Strong employer brand, metro location, and mid-level generalist treasury role drive high applicant competition.
Specialized treasury and FX risk skills and asset-management experience limit cross-industry transferability.
Explicit 3–5 years requirement plus mandatory treasury/FX domain experience increases shortlisting stringency.
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Support Treasury Risk team in FX and interest rate risk management, including analysis, reporting, and hedging strategy evaluation.
Collaborate with multiple internal teams (investment, IT, operations, finance, accounting) to develop and enhance FX risk and trading activity reports.
Manage fund/user onboarding workflows, resolve trade discrepancies, and assist in process improvements across Treasury and related functions.
3-5+ years of experience in Treasury, FX, Interest Rate risk management or asset management.
Bachelor's degree with emphasis in finance and accounting.
Strong Excel and PowerPoint skills are mandatory; Python/VBA, Power BI, Bloomberg terminal preferred.
Work Experience Required: 3-5+ years in related Treasury/FX/Interest Rate/asset management roles.
Experienced in FX and interest rate markets, familiar with sponsor hedging strategies including forwards, options, and structured products.
Capable of working independently on multiple projects, coordinating with diverse stakeholders effectively.
Comfortable with handling large or complex datasets and using technology (programming or AI tools) to streamline processes.