Treasury & trading

Treasury & Trading has a dual role, working alongside Group Corporate Treasury on the Group balance sheet, and acting as the crucial link between financial markets and customer-facing operations. The work is intellectually demanding and hugely satisfying, covering areas such as credit trading, cash bond trading, credit default swaps, derivative research and trading, foreign exchange and wholesale funding.
We also deal with International Treasuries on governance and money markets, and we provide funding via Sterling money markets, manage currency interest rate risks, embed derivatives into transactions and develop hedging solutions and swaps trades. More information about this detailed and multifaceted area of our business is available here.
