FX Trade Operations - Associate:
Venn Group currently seeking a skilled and experienced professional to join a global banks team as a Treasury Operations associate within a FX/MM Processing Team. This is a initial 1 year contract role based in Canary Wharf, London, and presents an exciting opportunity for someone with a strong background in treasury operations and a keen interest in foreign exchange and money market processing.
- Execute and settle FX and MM transactions accurately and in a timely manner, adhering to relevant regulations and internal policies.
- Monitor and reconcile trade confirmations, trade settlements, and related documentation.
- Collaborate with various internal teams to ensure smooth and efficient transaction processing, including front office, back office, risk management, and other stakeholders.
- Provide support in investigating and resolving any trade discrepancies or operational issues.
- Maintain accurate records and documentation for audit and compliance purposes.
- Stay updated with industry trends, regulations, and best practices related to treasury operations and FX/MM processing.
- MUST HAVE proven experience in treasury operations, preferably within a financial institution or bank, with a focus on FX/MM processing.
- Strong understanding of trade lifecycle and settlement processes, including knowledge of SWIFT, CLS, and other industry standards.
- Familiarity with regulatory requirements related to FX/MM transactions, such as Dodd-Frank, EMIR, and MiFID II.
- Excellent attention to detail and ability to work under pressure in a fast-paced environment.
- Strong analytical and problem-solving skills, with the ability to identify and resolve issues proactively.
- Effective communication and interpersonal skills, with the ability to work collaboratively within a team.
To apply, please submit your CV and a member of our Financial Services Team will be in touch.