Treasury Officer - Funding
A small prestigious international bank has an exciting opportunity for a dynamic new addition to join its small Treasury Front Office team. Your duties will include: Managing all Treasury funding requirements daily, for the London office and liability management Supporting wholesale/commercial clients with treasury products - FX and depositsAssisting with introducing new business/relationships to the Bank from both UK and international marketsEnsuring compliance (KYC/CDD) of Treasury clients, as first line of defence Providing cover for the Treasury Manager when absent, with all FX requirements for London officeYour experience must include: Good proven treasury funding experience gained within international banking Cash/liability management and KYC/CDD experienceFX swaps knowledge Excellent communication and presentation skills - both written and oral Strong IT skills This is a hybrid role, working 3 days a week in the London office and 2 days remotely. ..... full job details .....
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