Treasury & Financial Markets Associate

Company: Hays
Apply for the Treasury & Financial Markets Associate
Location: London
Job Description:

Overview

In this role you will support a client-focused Treasury and Financial Markets team in London, maintaining relationships with corporate and institutional clients while facilitating FX, funding and liquidity activities. You will work closely with Treasury, Trading and Operations to execute transactions and ensure high-quality service. The role emphasizes collaboration, reliability and learning, with exposure to senior leadership. This is a long-term, career-building opportunity in a collaborative market environment.

Pay / Benefits

  • Hybrid working arrangement
  • Competitive salary
  • Direct exposure to senior leadership
  • Collaborative team environment
  • Long-term career development

Responsibilities

  • Manage and support relationships with corporate and institutional clients
  • Act as a key contact for client queries and transaction requests
  • Facilitate and coordinate FX transactions (spot, forward, swap)
  • Collaborate with Treasury and Trading to execute client transactions and funding requirements
  • Support client funding, investment and risk management activities
  • Assist with liquidity and funding management initiatives
  • Coordinate client onboarding with Compliance and KYC teams
  • Collaborate with internal stakeholders across Treasury, Trading, Operations, Risk and Compliance
  • Maintain awareness of regulatory, risk and compliance requirements
  • Support process improvements and day-to-day team operations

Key requirements

  • At least 1 year of relevant experience in Treasury, Financial Markets, Corporate Banking, Banking, Cash Management or similar
  • Strong communication and relationship management skills
  • Excellent attention to detail and organisational ability
  • Strong numerical and analytical skills
  • Proficiency in Microsoft Excel and MS Office applications
  • A proactive, team-oriented approach and willingness to learn
  • Knowledge of treasury-related products beneficial: cash/liquidity management, funding and deposits, money market, FX (spot/forward/swaps), treasury risk management, interest rate products, corporate treasury activities and bank relationship management
  • A degree in Finance, Economics or related discipline advantageous
  • Strong communication
  • Relationship management
  • Attention to detail
  • Microsoft Excel
  • Microsoft Office
  • FX product knowledge (spot, forwards, swaps)

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Posted: October 1st, 2026