Key Responsibilities :
- Treasury Operations
- Prepare daily cash forecasts to support liquidity planning and funding decisions
- Perform cash flow updates, trade input, and bank placements
- Process trade documentation including account opening, KYC, NDAs, and rate fixings
- Administer invoice payments and assist with trade summaries and MCF reporting
- Manage account access controls and facilitate bank communications
- Maintain and update treasury documentation and digital repository
- Coordinate bank account openings, closures, and related administrative tasks
- Treasury Risk Management
- Conduct bank user access reviews (semi-annually or as required)
- Monitor treasury risks such as counterparty exposure and survival period tracking
- Prepare internal risk dashboards and reporting packs for treasury risk oversight
- Process Support & Collaboration
- Assist in implementing and enhancing operational workflows and internal controls
- Liaise with internal stakeholders (e.g. Finance, Legal, Risk) and external banking partners
- Participate in audit, regulatory reviews, and ad-hoc treasury initiatives
Requirements :
Degree in Finance, Accountancy, or related field24 years of experience in treasury operations, finance operations, or bank-facing rolesStrong analytical skills with excellent attention to detailProficient in Microsoft Office (Excel, PowerPoint, Word); experience with dashboards preferredExcellent interpersonal and communication skills, both written and verbalHighly organised, independent, and able to manage multiple tasks and deadlinesA team player with a strong sense of ownership and accountabilityComfortable working with documentation, system input, and cross-department processesSkills Required
Finance, Legal, Risk, Kyc, Cash Flow