Our client offers an exciting opportunity to join their team in Jersey on a 12-month fixed-term contract as a Treasury Control Senior Analyst. This role is vital in supporting the Dealing Room by providing Cash and FX positions, managing the bank's cash balances across all agents and custodians, and performing various treasury control functions. The successful applicant will be responsible for meeting all daily, monthly, and annual reporting requirements while proactively managing and reducing risk. This includes accurate monitoring and settlement of all cash netting, funding, and FX requirements. This is a brilliant chance to engage in a dynamic environment while contributing to the financial outcomes of the organisation.
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What You’ll Love:
Our client thrives on the challenge to be their best, encouraging progressive thinking to foster growth and collaboration to deliver trusted advice that helps clients flourish and communities prosper. You will be supported by leaders who are committed to your development through coaching and management opportunities. Joining a dynamic, collaborative, and high-performing team, you will have the ability to make a lasting impact while working with the best in the field. This position not only allows you to showcase your skills but also contributes to a mission-driven culture that values making a difference in the community while achieving mutual success.
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