Extensive career development opportunities offered
Gain broad exposure to multiple banking products and functions
About Our Client
The client is a leading global financial services institution with a strong presence in the City of London, offering comprehensive banking services and fostering a collaborative, development-focused environment.
Job Description
Oversee transaction flows for treasury products, including FX/MM, derivatives, bonds, and securities.
Support payment processing, syndicated loan administration, and trade finance activities.
Conduct due diligence on trade finance transactions, including sanctions and compliance checks.
Generate and monitor SWIFT messages (MT1xx, MT2xx, MT3xx).
Handle reconciliation processes and manage collateral operations.
Ensure compliance with MiFID II and EMIR transaction reporting requirements.
Maintain static data, including client and account setup.
Produce management information reports and support ad-hoc operational tasks.
Collaborate with internal and external stakeholders to resolve issues efficiently.
The Successful Applicant
The ideal Operations Officer candidate will have:
At least three years of Treasury Operations experience in the UK or global markets.
An undergraduate degree.
Strong attention to detail, organisation, and a proactive approach to tasks.
Confidence in client-facing interactions and excellent communication skills.
A methodical, self-motivated mindset with a strong desire to learn and develop.
Competency in MS Office, particularly Excel and PowerPoint.
Mandarin language skills at fluent or business level (desirable but not essential).
What's on Offer
A robust career progression pathway as an Operations Officer, hands-on training, and support for skill development across banking operations, compliance, and regulatory reporting. This is a unique opportunity to enhance expertise in a dynamic and supportive professional environment.
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