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Treasury Operations Analyst

Venn Group
Posted 14 days ago, valid for 11 days
Location

London, Greater London EC1R 0WX

Salary

£42,000 - £50,400 per annum

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Contract type

Full Time

In order to submit this application, a Reed account will be created for you. As such, in addition to applying for this job, you will be signed up to all Reed’s services as part of the process. By submitting this application, you agree to Reed’s Terms and Conditions and acknowledge that your personal data will be transferred to Reed and processed by them in accordance with their Privacy Policy.

Sonic Summary

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  • The Treasury Operations Analyst position is located in London and offers a hybrid working arrangement on a daily rate contract basis.
  • The role requires previous experience in treasury operations within a banking or financial services environment, with a focus on cash and liquidity management, settlement of treasury transactions, and risk compliance oversight.
  • Key responsibilities include monitoring cash flows, performing reconciliations, managing collateral, and collaborating with various stakeholders.
  • Candidates should possess strong knowledge of FX, money markets, derivatives, and treasury management systems, along with excellent problem-solving and communication skills.
  • The daily rate is competitive and commensurate with experience, making this an attractive opportunity for experienced treasury professionals.

Treasury Operations Analyst

Location: London (Hybrid Working)

Contract Type: Daily Rate Contract

We are seeking a detail-oriented and proactive Treasury Operations Analyst to join a leading bank based in London on a daily rate contracting basis. This hybrid role offers flexibility with the opportunity to work remotely while maintaining a collaborative presence in the London office.

As part of a high-performing Treasury Operations team, you will play a critical role in supporting the bank's liquidity management and risk mitigation activities. This position is ideal for an experienced treasury professional looking to contribute to a dynamic financial services environment.

Key Responsibilities:

  • Cash and Liquidity Management: Monitor daily cash flows, ensuring sufficient liquidity for the bank's operational needs and adherence to regulatory requirements.
  • Settlement of Treasury Transactions: Handle the settlement of a range of treasury products including FX, money market instruments, derivatives, and bonds.
  • Reconciliations: Perform daily and monthly reconciliations of treasury transactions, resolving any discrepancies with counterparties or internal teams.
  • Risk and Compliance Oversight: Ensure all treasury operations are conducted in accordance with regulatory requirements and internal controls, mitigating any potential operational risk.
  • Trade Confirmation and Matching: Verify and match trade confirmations with counterparties, ensuring accuracy and timely settlement.
  • Collateral Management: Assist with collateral postings and margin calls related to derivative contracts, ensuring accurate tracking of positions.
  • System Maintenance and Reporting: Maintain treasury systems, ensuring accurate input of trade data, and produce regular reports for senior management and regulatory bodies.
  • Stakeholder Collaboration: Work closely with front office, risk, finance, and compliance teams to ensure smooth transaction processing and effective treasury operations.

What We Are Looking For:

  • Previous experience in treasury operations within a banking or financial services environment.
  • Strong knowledge of FX, money markets, derivatives, and other treasury products.
  • Familiarity with treasury management systems and settlement platforms.
  • Exceptional attention to detail and problem-solving skills.
  • Ability to work under pressure and meet tight deadlines in a fast-paced environment.
  • Excellent communication and interpersonal skills, with the ability to liaise across multiple teams.

Why Join Us:

  • Competitive daily rate based on experience.
  • Flexible working arrangement with a hybrid model.
  • Opportunity to work with a leading global financial institution in London.
  • Gain valuable exposure to complex treasury operations in a supportive and collaborative team.

If you are a skilled Treasury Operations Analyst with a passion for financial markets and operational efficiency, we want to hear from you.

Don’t miss out on this top job!

In order to submit this application, a Reed account will be created for you. As such, in addition to applying for this job, you will be signed up to all Reed’s services as part of the process. By submitting this application, you agree to Reed’s Terms and Conditions and acknowledge that your personal data will be transferred to Reed and processed by them in accordance with their Privacy Policy.