An exciting opportunity has arisen within a prestigious international bank to join its front office. Your duties will include:
- Assisting in executing treasury transactions in MM, FX, and Fixed Income
- Supporting the management of the liquidity position
- Preparing daily liquidity forecasts, funding gap analysis and market commentary
- Conducting data analysis and reporting
- Assisting with the preparation of market commentary
- Supporting onboarding and due diligence processes
Your experience must include:
- Proven relevant experience in treasury middle/front office, trading and balance sheet management gained within banking
- Good understanding of financial markets including FX, IR and liquidity
- Strong analytical skills
- Degree educated
- Looking to develop professional qualifications e.g. CFA
- Excellent communication skills
- Strong IT skills including Excel, SQL , PowerBI
This role will be working 5 days a week in the London office