Our client is an internationally acclaimed financial services firm looking for dynamic individuals to join their Treasury - liquidity team based in London.
Some of the key responsibilities will include:
- Responsible for cash management, forecast & fund allocation across entities.
- Ensure processing and documentation of transactions is done as per guidelines.
- Maintain process efficiencies and work on improvisation to strengthen existing process.
- Liaise with various backend team to iron out arising issues and resolve queries arising on regulatory norms.
- Establish robust risk controls and regulatory checks.
To be eligible for this role you will require:
- 3-7 years of relevant experience
- Understanding of treasury operational process and systems
- Knowledge of financial statement and principles is required
- User experience in various financial tools such as tableau, power BI etc. is required
- Strong verbal and written communication skills
Please note that due to the high number of applications only shortlisted candidates will be contacted. If you do not hear from us in the next 5 business days, we regret to inform you that your application for this position was unsuccessful.
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