KOTRA London provides recruitment services to companies based in the UK and South Korea. As part of its services, we place job advertisements on behalf of our clients, review applications, and provide application details to our clients.
Our client NongHyup Bank London Branch is recruiting a Treasury Manager to join their business in the UK.
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1. Main Works
Develop and maintain funding transaction network.
- Establish and manage relationships with financial institutions, and market participants.
- Expand access to diversified funding channels. (M/M, CDs, Trade Loan, MTN, etc.)
- Maintain active engagement with brokers, banks, and institutional investors to support efficient funding and liquidity management.
- Monitor market developments and identify new transaction opportunities through network intelligence.
Management of excess liquidity and investment activities.
- Short-term investment activities to enhance return on surplus funds.
- Invest in high-quality, low-risk money market instruments such as HQLA (High Quality Liquidity Assets), CDs and so on.
Support interest rate and FX risk management activities.
- Monitor interest rate and FX exposure to comply with risk requirement.
- Support hedging strategies and evaluate use of derivative instruments.
Support for Head Office and regulatory reporting on Treasury Activities
- Support the preparation and submission of regular and ad-hoc treasury-related reports to HO.
- Assist in responding to information requests from Head Office and regulators in relation to treasury activities.
2. Other Requirements
- Minimum 3 years of experience in Treasury management within a bank or financial institution.
- Solid understanding of wholesale funding markets and liquidity management
- Experience in money market transactions, funding operations, or short-term investments preferred.
- Experience in building and maintaining relationships with financial institutions and money market counterparties.
- Strong understanding of interest rate and FX markets, with basic knowledge of hedging instruments. (e.g., swaps, forwards)
- Proficiency in Excel, Word and PowerPoint for reporting and administrative tasks.
3. Additional Job Details
- VISA: Applicants must hold a visa permitting legal employment in the UK. Please state the type and validity period of your visa clearly in your CV
- Address: 4th Floor, East, 3 Lombard street, London, EC3V 9AA
- Annual Salary: From £50,000 a year (negotiable)
- Recruitment: Full-time / Permanent position
- Working hours: 8 hours/ 5 days (on-site) (08:00 – 17:00)
- Schedule: 8 hour shift / Day shift / Monday to Friday / Holidays / Weekends / Overtime
- Holiday: 23 days plus UK public holidays
- Insurance: Private Medical Insurance
- Accommodation and airfare: Not applicable
- Recruitment period: 5 June 2026 - 30 June 2026 (Subject to early closure upon successful recruitment)
4. How to Proceed
- 1st: Document review (Written review of submitted documents such as resume, self-introduction letter, and certificates)
- 2nd: Interview (comprehensive evaluation of skills required for job performance through interview / Interview can be conducted with English / Summarising session can be suggested)
※ Only shortlisted candidates will be notified for interviews.
※ Interview results will be informed within a week via email after all interviewees have been interviewed.
※ The following information must be included in CVs:
(1) Valid date of work visa
(2) Relevant work experience
(3) Education details
Job Type: Full-time
Pay: From £50,000.00 per year
Experience:
- Treasury management: 3 years (required)
Language:
Work Location: In person