ICG (LSE: ICG) is a global alternative asset manager with $123bn* in AUM and more than three decades of experience generating attractive returns. We operate from over 20 locations globally and invest our clientsâ capital across Structured Capital; Private Equity Secondaries; Private Debt; Credit; and Real Assets. Our exceptional people originate differentiated opportunities, invest responsibly, and deliver long-term value. We partner with management teams, founders, and business owners in a creative and solutions-focused approach, supporting them with our expertise and flexible capital. *As at 30 June 2025.
This role sits at the centre of our treasury function, supporting liquidity, funding, and financial risk management across the business. Youâll gain broad, handsâon exposure to balance sheet management, liquidity forecasting, funding execution, and FX/interestârate risk. Itâs a fantastic opportunity to build expertise across core treasury activities while contributing to how we manage the firmâs financial strength and stability.
ICG (LSE: ICG) is a global alternative asset manager with $123bn* in AUM and more than three decades of experience generating attractive returns. We operate from over 20 locations globally and invest our clientsâ capital across Structured Capital; Private Equity Secondaries; Private Debt; Credit; and Real Assets. Our exceptional people originate differentiated opportunities, invest responsibly, and deliver long-term value. We partner with management teams, founders, and business owners in a creative and solutions-focused approach, supporting them with our expertise and flexible capital. *As at 30 June 2025.
Wellcome Trust