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Treasury Analyst

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Salary Competitive
Type Permanent
Location City of London
Sector Operations
Job Reference T5/JMDR/32939
Contact Jonathan Ross
Date posted 24-10-2019

Key Responsibilities:

• Ensuring cash requirements are delivered by observing liquidity levels across all accounts.
• Aid decision making in regards to FX exposure and liquidity by preparing accurate reports.
• Organise the carrying out of FX trades when required.
• Monitor settlement of upcoming deals by coordinating with both external stakeholders and investment teams.
• Support Treasury decisions relating to investor call/distributions with relevant reports.
• Facilitate Client Service teams in their responding to client queries.

Knowledge and Experience Required:

• Good analytical skills
• Strong communicative skills, both verbal and written.
• Emphasis on attention to detail
• History of working in a fast paced environment, working collaboratively and punctually.
• Capability regarding the prioritisation of multiple tasks.
• A successful candidate will more likely have experience working in the financial sector.
• Prior exposure to both VBA and Microsoft Access would be beneficial

If you think you have the skills required and would like to apply, please submit your CV or contact Jonathan Ross at BRUIN Financial (Jonathan.Ross@bruinfinancial.com)

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Contact Jonathan about this job

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