LMAX Group
London, United Kingdom
To help support the future growth of the business we are seeking a highly motivated individual to join a newly created dedicated LMAX Digital Treasury function in a broad role which provides exposure to core Treasury operations, reconciliations, liquidity and inventory management. The role provides good growth and progression opportunity as the LMAX Digital's Treasury team develops and expands.
Main Duties & Responsibilities
Perform day to day reconciliations of broker position. Including:
Working closing with Head of Treasury Operations to assist in cash and liquidity management.
Assisting in corporate treasury projects, including cashflow forecasting, inventory management and FX and Digital assets risk management.
Collate regular reporting to senior management and work with Head of Treasury operations to establish and maintain KPI's.
Working closely with the Group treasury and Group Finance team to ensure sound back-office Treasury operations....