CassonX are delighted to be exclusively recruiting for the International Bank that is a member of the Association of Foreign Banks. This company are looking to hire someone to work in their well established Treasury Operations team, and to support growth in volumes of Global Markets trading. This small but stable company to work for will provide an opportunity to grow, have a long-term career, and is indicative of their very hands-on approach and “everyone mucks in” mentality, to successfully run a branch of an international bank.
To be considered for the role CassonX are looking to identify someone coming from a banking background in the UK, who has experience of working in a Treasury Operations function. You will have exposure to maintaining trade lifecycles of Fixed Income (including Repo), FX and Derivatives (Interest Rate Options, Futures, FRAs, CCPs), coupled with experience of supporting Cash Management and Payments processes too.
This experienced hires role will see you operate in a “hands on” capacity in a small Treasury Operations team. Day-to-day will see you manage all cash positions and process SWIFT messages supporting the branch necessities, but also support the confirmation, settlements and reconciliations of Capital Markets products. A detailed job descriptions will be sent to those who provide a relevant CV.
CassonX Limited are committed to providing fair employment opportunities to all applicants. We encourage anyone to apply, regardless of their background, and promote a fair and inclusive recruitment process based on merit. If you require any assistance throughout the interview process to improve your experience, kindly let us know.
Please fill in your details and upload your CV and covering letter and our consultant will get back to you.