Treasury Settlement Administrator
other jobs MW recruitment
Added before 1 Days
- England,London,City of London
- Full Time, Permanent
- Salary negotiable
Job Description:
Full job description
Our client, an international bank with a strong presence in global financial markets, is seeking a Treasury Settlements administrator to join its Operations team in London.
This is an excellent opportunity for a detail-oriented banking professional with experience across treasury products, settlements, confirmations, regulatory reporting, and back-office operations.
Key Responsibilities
*Support the timely and accurate settlement of Treasury transactions including Money Markets, FX, NDFs, Bonds, CDs, Repos and Interest Rate Swaps.
*Process trade confirmations and investigate settlement issues with internal and external counterparties.
*Maintain and update static data within back-office systems.
*Monitor cashflows, coupon payments, interest settlements and maturity events.
*Manage transaction reporting, reconciliations and trade investigations.
*Support collateral management activities including margin reconciliation, dispute resolution and settlement.
*Assist with regulatory reporting obligations including EMIR, MiFID and MiFID II.
*Liaise with reporting vendors and internal stakeholders to ensure reporting accuracy and completeness.
*Support system enhancements, testing, process improvements and project initiatives.
*Conduct AML and CDD checks in accordance with internal policies and regulatory requirements.
*Perform daily CASS reviews and escalate any breaches or concerns appropriately.
*Produce management information and governance reporting as required.
Requirements
*Previous experience within Treasury Operations, Settlements, Back Office or Trade Support gained within a banking environment.
*Knowledge of Treasury products including FX, Money Markets, Securities and Interest Rate Swaps.
*Understanding of EMIR, MiFID/MiFID II and regulatory reporting requirements.
*Exposure to collateral management and reconciliation processes would be advantageous.
*Knowledge of CASS regulations would be beneficial.
*Strong attention to detail and accuracy.
*Excellent organisational and prioritisation skills.
*Strong communication and stakeholder management abilities.
*Proficient in Microsoft Office applications, particularly Excel.
*Mandarin language skills would be advantageous but are not essential.
What’s on Offer
*Opportunity to join a well-established international banking institution.
*Broad exposure across Treasury Operations and Regulatory Reporting.
*Collaborative and professional working environment.
*Excellent career development opportunities within a growing organisation.
Our client, an international bank with a strong presence in global financial markets, is seeking a Treasury Settlements administrator to join its Operations team in London.
This is an excellent opportunity for a detail-oriented banking professional with experience across treasury products, settlements, confirmations, regulatory reporting, and back-office operations.
Key Responsibilities
*Support the timely and accurate settlement of Treasury transactions including Money Markets, FX, NDFs, Bonds, CDs, Repos and Interest Rate Swaps.
*Process trade confirmations and investigate settlement issues with internal and external counterparties.
*Maintain and update static data within back-office systems.
*Monitor cashflows, coupon payments, interest settlements and maturity events.
*Manage transaction reporting, reconciliations and trade investigations.
*Support collateral management activities including margin reconciliation, dispute resolution and settlement.
*Assist with regulatory reporting obligations including EMIR, MiFID and MiFID II.
*Liaise with reporting vendors and internal stakeholders to ensure reporting accuracy and completeness.
*Support system enhancements, testing, process improvements and project initiatives.
*Conduct AML and CDD checks in accordance with internal policies and regulatory requirements.
*Perform daily CASS reviews and escalate any breaches or concerns appropriately.
*Produce management information and governance reporting as required.
Requirements
*Previous experience within Treasury Operations, Settlements, Back Office or Trade Support gained within a banking environment.
*Knowledge of Treasury products including FX, Money Markets, Securities and Interest Rate Swaps.
*Understanding of EMIR, MiFID/MiFID II and regulatory reporting requirements.
*Exposure to collateral management and reconciliation processes would be advantageous.
*Knowledge of CASS regulations would be beneficial.
*Strong attention to detail and accuracy.
*Excellent organisational and prioritisation skills.
*Strong communication and stakeholder management abilities.
*Proficient in Microsoft Office applications, particularly Excel.
*Mandarin language skills would be advantageous but are not essential.
What’s on Offer
*Opportunity to join a well-established international banking institution.
*Broad exposure across Treasury Operations and Regulatory Reporting.
*Collaborative and professional working environment.
*Excellent career development opportunities within a growing organisation.
Job number 3856896
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Company Details:
MW recruitment
MW Recruitment is a specialist banking and financial services recruitment company. We were founded in 2010 and have consultants specialising within th...