A small European Bank has an exciting, varied role working within their busy Operations area.
Your duties will include:
- Back-office processing - settlements (FX, MM, IRS, Bonds, CD’s etc)
- Processing payments - SWIFT, CHAPS, Faster Payments
- Cash management, position keeping
- Handling queries
- Reconciliations
Your experience must include:
- Extensive proven Treasury Settlements experience (including FX, IRS, Bonds etc) and SWIFT payments gained within banking
- Strong IT skills - SWIFT, Euroclear, Midas, Tram, IntelliMatch etc
- A good team player with excellent communication skills both written and verbal
Please note this role will be working hybrid - 3 days a week in the office and 2 days remotely.