A wonderful opportunity has arisen for an individual with a good attention to detail and strong numerical background to join our client’s team, as a Treasury Analyst, on a temporary basis, potentially leading to a permanent position. You will support the Bank Treasury team whose core responsibility is managing the Bank’s balance sheet in line with risk appetite and prudential regulation. Day-to-day, you will manage the Bank’s balance sheet and off balance sheet fiduciary deposits. In addition, you will continually propose future strategies for how the balance sheet should be structured to meet medium term strategic goals. Finally, your team will provide cash management services for the investment business of the group. If you're looking for a varied role, with exposure in balance sheet management, reporting, FX dealing and cash management, then this role might interest you!
If you would like to find out more about the client and this fantastic opportunity, please contact our expert recruiters today, either by email firstname.lastname@example.org or by calling 01624 720088, alternatively you can submit your CV to our team by clicking here. Please feel assured that all enquiries will be treated with the utmost discretion.