Our client is one of the leading multi-strategy hedge funds globally. They operate a model that covers equity long/short, fixed income, commodities and credit trading and offices across Chicago, New York, London and Singapore.
They are looking to hire a newly created position in their treasury operations team. This role will work on the cash management, collateral and liquidity of the firm. It will have the ability to work with the most senior management on an interesting and varied role.
They have top tier employee retention as look to progress their employees quickly, offer a strong benefits package on top of exceptional earning potential for top performers.
Their ideal candidate will have between 5-10 years of treasury, cash management or collateral management experience, with experience in an investment bank or hedge fund.