Manages and monitors Treasury risk positions, producing interest rates and pricing for liability products, and collaborating with teams to achieve cash and liquidity targets. Daily monitoring of Treasury risk positions is essential to manage exposures within approved limits. Effective management of surplus cash and liquidity is key, as well as driving optimisation of Treasury profitability.
Treasury Dealer
Guernsey
Agency Listing
Health and Beauty
Seeker Insight
Login to see extended details such as date listed.