About this role
Treasury Manager at Icg. Location: London, England, United Kingdom. Role: Manage FX exposures, Forecast liquidity, Coordinate funding Requirements: 7+ years in treasury; FX execution; liquidity forecasting; funding; risk management; TMS knowledge; advanced Excel/PowerPoint. Category: Finance and Accounting Seniority: Senior Level Tools: Quantum TMS, Excel, PowerPoint, FX platforms Commitment: Full Time Workplace: Onsite Languages: English