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Marex

Treasury Manager: Capital Markets (VN2565)

Posted 4 Days Ago
Be an Early Applicant
In-Office
London, Greater London, England
Senior level
In-Office
London, Greater London, England
Senior level
Manage liquidity, FX, and funding risks for capital markets products; enhance stress‑testing, analytics, and liquidity cost allocation; liaise with front office and control functions; support Treasury policy, reporting, ICARA, and systems improvements.
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About Marex

Marex Group plc (NASDAQ: MRX) is a diversified global financial services platform providing essential liquidity, market access and infrastructure services to clients across energy, commodities and financial markets. The group provides comprehensive breadth and depth of coverage across four core services: clearing, agency and execution, market making, and hedging and investment solutions. It has a leading franchise in many major metals, energy and agricultural products, with access to 60 exchanges. The group provides access to the world’s major commodity markets, covering a broad range of clients that include some of the largest commodity producers, consumers and traders, banks, hedge funds and asset managers. With more than 40 offices worldwide, the group has over 2,300 employees across Europe, Asia and the Americas.

For more information visit https://www.marex.com/

Capital Markets is a growing division of Marex that encompasses a number of business offerings including prime brokerage, securities financing, OTC derivatives and execution services. You will be a key member of the Treasury team, primarily supporting the Capital Markets activities, providing business-aligned partnering and oversight across funding, liquidity, FX and other areas. Acting as a central point of expertise and contact for the business, you will develop a holistic view of front‑to‑back processes, trading activity, and associated risks, ensuring issues are identified early and escalated appropriately.

To succeed in this environment, you will be resilient, highly organised, and detail‑oriented, with the ability to stay focused and deliver under pressure. You will thrive in a dynamic, fast‑paced setting and be eager to contribute to a growing and evolving organisation, making a meaningful impact as part of a high‑performing team.

Responsibilities:

• Assess, monitor, and manage liquidity, FX, and funding risks arising from a range of capital markets products and trading strategies, continuously enhancing risk analytics and internal liquidity metrics
• Enhance internal liquidity stress‑testing models, ensuring scenarios accurately capture the behaviour and risk characteristics of capital markets products under adverse market conditions
• Maintain an active and independent dialogue with front‑office stakeholders, assessing new requests with objectivity and providing clear, well‑reasoned recommendations to senior management
• Build strong working relationships with control and support functions (Risk, Finance, Operations, Compliance) while developing a deep commercial understanding of the business lines you support
• Assist in enhancing the firm‑wide liquidity cost allocation process, ensuring accurate attribution of liquidity usage to the capital markets businesses and improving automation and modelling approaches
• Strengthen data analytics and management information, supporting the expansion of the firm’s capital markets activities and global footprint, and improving the transparency of the business on the firm
• Ensure Treasury policies, processes, and controls relevant to capital markets products are clearly documented, well‑maintained, and aligned with regulatory and internal requirements
• Represent Treasury in new business forums, ensuring all Treasury elements are fully evaluated and considered before signing off on a new business/ product offering
• Support the enhancement of the Group Liquidity Risk Framework, including daily liquidity monitoring, internal and regulatory liquidity stress testing, and ongoing improvements to reporting and analytics
• Contribute to the annual ICARA process, taking ownership of key Treasury‑related sections and ensuring robust assessment of liquidity, capital, and wind‑down requirements
• Collaborate with Treasury Project Managers and technology teams to enhance systems, data infrastructure, and automation across Treasury processes
• Support the development and leadership of the broader Treasury Analytics function, helping build analytical capability, modelling standards, and high‑quality reporting across the team

Skills & Experience:

• Degree in a quantitative, finance, or economics discipline, or equivalent experience
• Strong understanding of capital markets instruments: bonds, repos, securities financing, listed and OTC derivatives (FX, rates, credit) including payoff structures, risk profiles, valuation drivers
• Understanding of Prime Brokerage client flows and their impact on liquidity, funding, and collateral management
• Experience assessing liquidity and funding risks across complex product sets, with the ability to interpret risk drivers and translate them into actionable Treasury insights
• Working knowledge of liquidity stress testing frameworks, liquidity metrics, and internal liquidity cost allocation methodologies
• Ability to understand, identify, and communicate key risks associated with complex products (including valuation and modelling)
• Proven ability to identify process inefficiencies and deliver robust, scalable improvements, partnering effectively with technology and data teams
• Strong leadership and collaboration skills, with the ability to work as part of a high‑performing team and positively influence stakeholders across front‑office and support functions
• Highly numerate, detail‑oriented, and analytically strong, with the ability to synthesise large datasets and draw clear conclusions
• Excellent written and verbal communication skills, capable of presenting complex topics clearly to senior stakeholders
• Advanced IT skills, including Excel and PowerPoint; familiarity with Bloomberg, VBA, Python, or similar data‑analysis tools is advantageous
• Experience working in a regulated environment and knowledge of the risk and compliance requirements associated with this.

Competencies:

• Excellent verbal and written communication skills
• A collaborative team player, approachable, self-efficient and influences a positive work environment
• Demonstrates curiosity
• Resilient in a challenging, fast-paced environment
• Excels at building relationships, networking and influencing others
• Strategic collaborator with insight and agility, able to anticipate future challenges, ensuring operational effectiveness

If you’re forging a career in this area and are looking for your next step, get in touch!
Marex is fully committed to being an inclusive employer and providing an inclusive and accessible recruitment process for all. We will provide reasonable adjustments to remove any disadvantage to you being considered for this role. We value the differences that a diverse workforce brings to the company. We welcome applications from candidates returning to the workforce. Also, Marex is committed to avoiding circumstances in which the appearance or possibility of conflicts of interest may exist within the hiring process.
If you would like to receive any information in a different way or would like us to do anything differently to help you, please include it in your application.
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Top Skills

Bloomberg
Excel
PowerPoint
Python
VBA

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