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Revolut is seeking a Treasury Investments Manager to manage liquidity and short-term investments for the company's growing financial operations. In this role, you will oversee yield optimization using money market instruments, FX swaps, bonds, and derivatives while managing associated risks.
Key responsibilities include:
- Formulating and executing investment strategies for fixed income securities, money markets, short-term interest rates, and FX instruments
- Building analytical models and tools to enhance portfolio returns and risk management capabilities
- Negotiating commercial terms with counterparties to optimize treasury operations
- Overseeing treasury-related risks including liquidity, interest rate, and FX risk
- Leading infrastructure improvement projects to optimize the company's liquidity profile
- Providing treasury analysis to support broader company strategic initiatives
- Delivering monthly liquidity updates to the Asset-Liability Committee (ALCO)
- Maintaining current knowledge of liquidity management in relation to market and regulatory requirements
You will be part of Revolut's Treasury team, which is instrumental in shaping new business initiatives and managing financial risk infrastructure across the organization. The role requires front office trading experience at a major financial institution, with expertise in managing fixed income, FX, credit, or repo portfolios. You should have strong quantitative capabilities, demonstrated ability to enhance returns through analytical tools, and excellent problem-solving and communication skills. A bachelor's degree in a quantitative subject is required.