TOM is partnering with a leading corporate and investment bank, this is a 24 month contract in Treasury Operations / Settlements. Our client is a global player and offer a hybrid working enviroment and a frendly, professional working enviroment.
Based in the CBD and reporting to the Operations Manager this position is responsible for the confirmation, settlement, reconciliation and operational support of Treasury products including:
- Foreign Exchange (FX)
- Money Markets
- Derivatives
The successful candidate will ensure transactions are processed accurately, settlements occur on time, discrepancies are resolved quickly, and internal/external stakeholders receive operational support.
Ideal Candidate Profile
- 1-2+ years' experience in Treasury Operations, Settlements, Payments or Banking Operations.
- Exposure to FX, Money Market or Derivative products.
- Solid attention to detail and accuracy.
- Ability to manage high transaction volumes and deadlines.