Posted by
Posted in
Banking & Finance
Job Code
1708983

Front to Middle Office Consultant Treasury & Capital Markets
We are seeking an experienced Front to Middle Office Consultant with strong expertise in Treasury & Capital Markets and hands-on experience in treasury operations, trade lifecycle management, risk monitoring, and treasury systems. The ideal candidate should possess a solid understanding of Front Office and Middle Office functions, treasury products, and regulatory requirements within banking and financial services environments.
Key Responsibilities:
- Act as a functional consultant for Front Office and Middle Office treasury operations.
- Work closely with traders, treasury dealers, risk teams, operations teams, and technology stakeholders to support treasury initiatives.
- Analyze, document, and manage business requirements related to treasury and capital markets processes.
- Support end-to-end trade lifecycle activities, including trade capture, validation, confirmations, settlements, and reconciliations.
- Monitor and support market risk, credit risk, position management, P&L reporting, and limit management processes.
- Ensure accurate processing and reporting of treasury transactions across various asset classes.
- Participate in system implementation, enhancement, migration, and treasury transformation projects.
- Coordinate UAT activities, defect management, and production support.
- Collaborate with technology teams on system integrations and process automation initiatives.
- Ensure compliance with regulatory, audit, and risk management requirements.
Required Skills:
- 810 years of experience in Treasury & Capital Markets, with significant exposure to Front Office and Middle Office functions.
- Strong understanding of treasury products including:
1. Foreign Exchange (FX)
2. Money Markets
3. Fixed Income Securities
4. Government Securities
5. Bonds
6. Interest Rate Derivatives
7. FX Derivatives
- In-depth knowledge of trade lifecycle management and treasury operations.
- Experience in market risk monitoring, position management, limit management, and P&L validation.
- Strong understanding of treasury workflows, controls, and operational risk management.
- Experience gathering business requirements and translating them into functional specifications.
- Strong analytical, problem-solving, and stakeholder management skills.
- Excellent communication and client-facing abilities.
Preferred Skills:
- Experience working with treasury platforms such as Finastra Kondor+, Murex, Calypso, or other similar Treasury Management Systems.
- Exposure to treasury transformation initiatives, including system implementation, upgrades, or migration projects.
- Strong understanding of treasury accounting, regulatory reporting requirements, and risk management frameworks.
- Knowledge of SWIFT messaging standards and treasury system integrations.
- Proficiency in SQL, reporting tools, and data analysis techniques.
- Prior experience working with leading banks or financial institutions.
- Develop and optimize pricing and valuation frameworks within Kondor+ through effective configuration of yield and interest rate curves.
- Ensure seamless integration with external market data sources to enable accurate and timely valuation of treasury positions.
- Strengthen risk and P&L reporting capabilities to support informed decision-making and regulatory compliance.
- Implement robust risk monitoring and limit management controls, ensuring adherence to internal policies and regulatory standards.
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Posted by
Posted in
Banking & Finance
Job Code
1708983