Prime Personnel UK

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.

To apply for this job please visit www.cv-library.co.uk.