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Cash Analyst, Investment Management

Cash Analyst Investment Management FX Trades Hedging

Our client, an impressive boutique asset manager hugely respected in the industry. This is a rare and fantastic opportunity for an accomplished front office Cash & FX specialist experienced in raising FX trades and hedging as well as act as the primary contact for cash balances and cash flow activity sitting with and supporting global desks with extensive liaison with fund managers.

Candidates will come from an investment management environment responsible for overseeing cash balances and cash flow activity for equity and fixed income accounts with close liaison with the investment team to support trading and settlement.

Acting as the SME, the Cash Analyst will be experienced in evolving and driving firm-wide cash practices and policies and will continually assess impacts to cash evolving processes accordingly.

Whilst managing currency in equity and fixed income accounts, you will be responsible for monitoring balances and related cash flows as well as raising FX orders to include the calculation, generation and routing of FX orders, rolling forward positions whilst monitoring exposure for example.

In addition, candidates will be experienced in managing hedging strategies for equity, fixed income and asset allocation strategies.

Candidates will be degree educated with a minimum of 5 years experience working within a cash management role working closely with front office is essential as is your exposure to FX. Progression towards CFA accreditation would be a distinct advantage.


Job Type:
Banking & Financial Services
Banking and Capital Markets
Highly Competitive
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Talk to a Consultant

Talk to Bernadette Quail, the specialist consultant managing this position, located in London City

107 Cheapside, London, EC2V 6DN

Telephone: 02034650109
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