Role Overview
Manage treasury operations supporting foreign exchange services, liquidity management, and operational controls while maintaining high standards of regulatory compliance.
Key Responsibilities
- Oversee treasury operations.
- Monitor foreign exchange activities.
- Coordinate banking relationships.
- Support regulatory reporting.
- Manage operational risk controls.
- Improve transaction processes.
Qualifications
- Degree in Finance, Economics, or Accounting.
- Treasury or banking operations experience.
- Knowledge of financial regulations.
- Strong analytical and communication skills.
Pay: £85,000.00 per year
Benefits:
- Casual dress
- Company events
- Employee discount
- Health & wellbeing programme
Work Location: In person