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Treasury Cross Function Associate

Adecco
Posted 2 days ago, valid for 15 days
Location

London, Greater London SW1A2DX, England

Salary

£40,000 - £48,000 per year

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Contract type

Full Time

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Sonic Summary

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  • The Treasury Cross Function Associate position is available for a 12-month contract in London with a focus on processing Money Market transactions according to regulatory and procedural guidelines.
  • The role involves supporting the Treasury Liquidity Operations Team Leader and requires frequent liaison with colleagues to ensure timely processing of significantly sized transactions.
  • Candidates should have general treasury experience, particularly in financial services, reconciliation, and vanilla money market operations, with Swift Alliance experience being desirable.
  • The successful applicant will need to demonstrate keen motivation and the ability to proactively improve processes, while ensuring timely completion of daily, weekly, and monthly functions.
  • Salary details were not specified, but candidates are expected to have relevant experience, ideally in the range of several years in treasury operations.

Treasury Cross Function Associate.

12 months

London

One of our financial services clients is current l looking for a Treasury Associate to join their team

To ensure Money Market transactions are processed in accordance with Head Office rules, regulatory obligations and local procedures. To provide support to the Team Leader of Treasury Liquidity Operations in delivering key services to our front office clients and outsourced locations in EMEA division.

Liaison with colleagues in the TDED to manage the processing of MM transactions. Frequent daily contact required to ensure key processing deadlines are met for significantly sized transactions.

The successful applicant will:

Ensure all payments are entered in time to meet respective deadlines.

Ensure all accounting entries (DDA and General Ledger) have been processed correctly.

Ensure trades are verified to respective external sources prior to processing.

Ensure all downstream system links are actively monitored intra-day and end day.

Ensure confirmation matching process has been completed in a timely manner with resolution of discrepancies.

Ensure reconciliation breaks on Nostros are proactively followed up and resolved.

Ensure daily / weekly and monthly functions are completed to an accurate level in a timely manner.

Ensure Desktop procedures and checklists are actively maintained and updated.

Timely escalation of issues with documentation where necessary and follow through to resolution.

Develop relationships with Front Office to promote quality service.

Proactively improve processes via 3 "E"s and using the Kaizen concept.

Perform and document User Acceptance Testing as part of new system upgrades.

Experience

  • General treasury experience,
  • Financial services
  • Reconciliation,
  • Swift Alliance desirable
  • Vanilla money Market experience
  • Keen & Motivated person

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