Treasury
What we do
The Barclays Group Treasury team manages Barclays capital resources, dealing with balance sheets, liquidity, capital governance and interest rate risk management, to support our exemplary ‘AA’ credit rating.
The team ensures Barclays maintains sufficient capital resources to meet the stringent requirements from institutions including the UK-based Financial Services Authority (FSA) and the US Federal Reserve Bank. The team also monitors compliance with regulations around the world, to ensure our international banking licences are not put at risk.
Headquartered in London, Group Treasury comprises a range of disciplines in areas including:
- Securitisation
- Debt investor relations
- Balance sheet reporting
- Liquidity risk assessment.
Why join us
Ensuring every transaction and business decision is made in line with Barclays governance and external regulations is vitally important, and involves working alongside colleagues across the global company.
With support from line managers and mentors, members of Barclays Group Treasury can take advantage of a host of tailored training opportunities, from online programmes to independent professional qualifications.
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