Prudential Risk & Control Manager - Treasury

Brewer Morris are working with a global financial services broker who due to rapid growth are expanding their treasury function.


They are now seeking a Prudential Risk & Controls Manager to join the treasury function to shape treasury's approach to risk and policies.

Your core role responsibilities will be:

  • Work directly with senior management to monitor the treasury policy by identifying and managing risk and controls from a liquidity, compliance and prudential perspective.
  • You will work across Cash Management, assisting with the development of cash management and credit concentration risk policies
  • Review and assess cash balance against key regulatory thresholds
  • Identify and monitor sources of liquidity event risk and monitor the liquidity risk metrics
  • Develop the functions interest risk management approach/methodology

Required Experience

  • Experience in corporate treasury liquidity and risk management in a global organisation
  • Experience managing a global cash flow forecasting process
  • Understanding on financial markets and financial products
  • 5+ year's experience in treasury
  • AMCT or other relevant qualifications are desirable but not essential


This is an excellent opportunity for someone looking to join a global market leader and shape the growth of the treasury function.
To register your interest you can reach me at aidanhanlon@brewermorris.com or 0207 332 2170


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