E

Treasury Manager - Cash & Safeguarding

Empirical Search

London, England, United Kingdom Permanent June 22, 2026
Apply Now

Opportunity Description

Role Description

  • Oversee the management of customer funds within global safeguarding rules, optimising returns while maintaining adequate liquidity, minimising risk to capital and managing P&L stability.
  • Develop and execute investment strategies aligned with local regulatory requirements.
  • Conduct regular market analysis to identify opportunities and mitigate risks
  • Collaborate with Risk, Compliance, and Finance teams to ensure adherence to regulatory frameworks.
  • Manage the relationships with our banks and counterparties, ensuring we are negotiating on price while enhancing opportunities for future initiatives.
  • Be part of the team rolling out to new jurisdictions, ensuring Treasury can manage funds efficiently and in line with local regulations.
  • Work with analysts to build and deliver reporting on all Cash & Asset Management activities, reporting on performance to various stakeholders.
  • Work with Prod...
  • Permanent Financial Specialists

    Ready to Apply?

    Submit your application for Treasury Manager - Cash & Safeguarding at Empirical Search

    Apply for this Position