Investec is seeking a Treasury Dealer in London to manage daily cash and liquidity, execute market transactions and support balance sheet risk management. You will liaise with ALM, Market Risk, Finance and trading desks to optimise funding strategies.
The role requires a strong grasp of fixed income, cash and FX markets, robust quantitative skills, and the ability to work under pressure in a busy treasury environment. Hybrid 4 days in office, 1 day remote.
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