I

Treasury Manager

Intermediate Capital Group

London, England, United Kingdom Full time June 07, 2026
Apply Now

Opportunity Description

Job Title: Treasury Manager

Contract Type: Permanent, full-time

Location: London, St Pauls

Department: Treasury

What the Hiring Manager says….

Summary of our opportunity

This role sits at the centre of our treasury function, supporting liquidity, funding, and financial risk management across the business. You’ll gain broad, hands‑on exposure to balance sheet management, liquidity forecasting, funding execution, and FX/interest‑rate risk.

You’ll partner closely with Finance and Operations to ensure disciplined controls, smooth processes, and accurate execution. It’s a fantastic opportunity to build expertise across core treasury activities while contributing to how we manage the firm’s financial strength and stability.

Primary responsibilities for this role include (but are not limited to):

  • Manage FX/IR exposures with strong execution capability: support hedging strategy,...

  • Full time Financial Specialists

    Ready to Apply?

    Submit your application for Treasury Manager at Intermediate Capital Group

    Apply for this Position