A prestigious international bank has an opportunity for an experienced “all round” treasury back-office candidate to join its busy operations. Your responsibilities will include: All settlements/confirmations/reconciliations – FX/MM/NDF/Bonds/Repos/CD’s/IRS SWIFT payments Static data and reporting Handling queries Assisting with projects Your experience must include: Strong proven back office/settlements experience covering all treasury products FX/MM/Bonds/Repos/IRS gained within banking Excellent communication skills both written & oral and a good team player Good IT skills Excel, SWIFT etcThis role will be working 5 days a week in the London office.

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