Manager - Treasury, Capital Markets / Front Office

OakNorth · London, England

The role

OakNorth runs an £8bn balance sheet with a small, senior Treasury team. Reporting to the Head of Treasury, you will own the execution of the bank's derivatives and FX activity and its investment portfolio, the sizing of its FX funding and liquidity positions, and support for capital and wholesale funding issuance — building the analytics behind those decisions. Treasury here is run as a measurable profit contributor rather than a cost centre, and the decisions taken on this desk are a material part of that.

This is a hands-on execution role rather than an oversight one. You will be pricing, trading, sizing and building the analysis behind your own recommendations, and presenting that work in senior forums including ALCO and to the CFO.

The role is deliberately front-office weighted, but the team is small and the remit is broad. There is genuine scope to build depth in the wider Treasury agenda — funds transfer pricing, liquidity and interest rate risk frameworks, and Board and regulatory work — for someone who wants it.

Principal responsibilities

Derivatives and FX

Investment portfolio

Capital and funding issuance

Funding and liquidity sizing

This part of the role is about sizing and direction. Operational execution and settlement sit with Treasury Operations; you set the strategy, size the transaction and steer the team.

Analytics and automation

We work extensively with AI-assisted development — Claude and Claude Code — inside a GitHub-controlled workflow. You do not need to be a software engineer, but you do need to be able to build a working analytical tool this way, or to learn to do so quickly.

Control, governance and reporting

Essential experience and skills

Desirable

Who will do well here

You thrive in a global team. The finance team is spread across the UK and India and you're good at building trust across time zones and you don't need to be in the same room to stay aligned.

Apply on OakNorth's site