A new and exciting opportunity has arisen for an Assistant Manager, Treasury to join our client's newly created Operations Department on a permanent basis. In this role, you will have responsibility for ensuring that the Bank's cash positions are utilised in an effective manner, monitoring and funding of accounts, proactively managing and reducing risk and keeping losses to a minimum whilst encouraging an environment of continuous improvement and quality. You will also manage daily running of all traded products supporting the Corporate Treasury and CI trading desks. If you have knowledge of FX and Money Market instruments and operational banking procedures / structures along with a sound understanding of Equities and Fixed Income products and basic trading strategies, then get in touch!
If you would like to find out more about the client and this fantastic opportunity, please contact our expert recruiters today, either by email email@example.com or by calling 01534 729996 , alternatively you can submit your CV to our team by clicking here . Please feel assured that all enquiries will be treated with the utmost discretion.