This international Bank is looking for an experienced Head of Treasury & Capital Markets (Back & Middle Office).
You will be responsible for the direction and control of the Back & Middle Office and liaise regularly with other businesses including Capital Markets, Finance, Risk and IT.
Duties will include but not limited to:
- Ensuring the control of cash management coupled with the end of day process in KONDOR+
- Managing broker invoices, helping with system enhancements, processing corporate transactions covering trade confirmations and settlement
- Setting up new client for Paris and London, along with processing all mandatory corporate actions
- Carrying out the investigations of any trade booking or valuation issues
To be considered for this role, experience of managing a Treasury and/or Capital Markets teams is a must along with having regulatory exposure to EMIR/MiFID. French language skills would be advantageous but is not essential.