Liquidity & FX Markets Trader
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HSBC Holdings plc in Paris is seeking a senior Treasury professional to manage liquidity and funding across HSBC Continental Europe. The role requires driving forward-looking cash management, currency monitoring and funding operations within regulatory guidelines.
You will collaborate with Risk, Finance and Support Teams to optimise desk efficiency. The ideal candidate will have strong treasury knowledge, experience with FX, money markets and instruments like IRS, repo and bonds, and fluency in