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Negotiable plus benefits
It is essential that all candidates applying have a minimum 3 years proven UK work experience. Sponsorship will not be available for this position.
Our client is looking for a FO- Treasury Business Management Analyst, to join their small team on temporary basis. This position is full time in office, 5 days per week.
Responsibilities include but are not limited to:
? Provide high-quality operational support to Treasury business.
? Assist in the daily business management such as counterparty maintenance, data collection for MI reporting, updating business procedure maps.
? Understand and implement risk control measures, including monitoring limit utilization and identifying operational risks in the trading flow.
? Participate in system enhancement tasks to optimize trading and risk management capabilities.
? Conduct financial market research and assist in drafting analysis reports to serve and support Treasurys trading business.
Skills, Experience and Qualifications
? Proven experience in Treasury trading environments with a solid understanding of trading workflows and risk prevention.
? Good understanding of FX, Bonds, and Money Market products is essential.
? Advanced strong data processing and quantitative analysis capabilities to work with Treasury systems to optimize data analysis tools.
? Educated to a degree level.
? Fluent in English. Mandarin speaking and writing skills would be an advantage, but not compulsory.
? Detail-oriented with the ability to deliver quality results under tight deadlines in a fast-paced environment.
For more information on this role please contact barbara@bhal.co.uk by sending your CV to barbara@bhal.co.uk and quoting ref 104309BH.
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