KennedyPearce Consulting
Treasury Operations Specialist
Job Location
Job Description
This International bank based in London are recruiting a Treasury Operations specialist to join their Back Office Treasury Operations department
The successful candidate will be responsible for Assisting the Head of Operations in monitoring daily BAU activities. This role requires 5 days in the office
Experience in the following is highly desirable – Euroclear, Murex, Swift Alliance
Product Knowledge; Loans, FX, MMK, NDF, CD, ECP, Repo, Securities, US Treasuries, IRS
Key Duties & Responsibilities
- Processing securities settlements in Euroclear
- Verification of Bank’s Nostro reconciliation including treasury products.
- Processing confirmations, payments and settlement of FX/MM, Securities, OTC derivatives trades
- Processing and creation of SWIFT payments
- Management of all tickets and entries within the Back Office and periodically checking statements received from settlement agents
Essential Experience
2-3 years of experience in Back-office operations, Loans Administration, confirmations, payments, SWIFT and Treasury Operations and Euroclear
It is essential to be considered for this role you have UK based banking experience gained working in the UK - This is a non sponsored role
Location: The City, GB
Posted Date: 11/25/2024
Contact Information
Contact | Human Resources KennedyPearce Consulting |
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