Treasury Associate, Liquidity, Optimization & Balance Sheet Management

Empirical Search · London, England, United Kingdom

Location
London
Job Type
Permanent
Posted
June 23, 2026

Job Description

Role Description

  • The role is responsible for supporting core treasury processes spanning liquidity and funding oversight, balance sheet analysis, management information, regulatory metrics, stress testing support, and senior management reporting. Alongside delivering recurring outputs accurately and on time, the position is also expected to contribute to enhancements in team operating practices, including stronger controls, improved reporting, increased automation, better documentation, and more scalable workflows. The role is well suited to an analytically strong, detail-oriented, and curious individual looking to build corporate treasury expertise while contributing to meaningful improvements in a high impact team.
  • Role Requirements

  • 2 to 5 years’ relevant experience, with exposure to one or more of the following: liquidity and funding measurement and management, capital management, treasury markets, collateral management, busines...
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