A fantastic opportunity for an experienced treasury or operations professional to join a dynamic team in Jersey
Jersey
To apply or for more information please contact Emma O’Connell on 01534-888345 or email emma.oconnell@thomasdessain.com.
In this role, you will calculate daily cash positions, manage funding transfers, reconcile FX netting, monitor trading limits, and report on collateral, liquidity, and high-quality liquid assets.
The ideal candidate will have practical experience in banking operations, strong analytical and Excel skills, and a solid understanding of treasury control processes, risk factors, and mitigation. Exposure to FX, money markets, and wealth management operations is desirable.
This role offers hands-on experience in a high-volume, fast-paced environment, providing opportunities to develop technical expertise, contribute to risk management, and make a tangible impact within a collaborative team.
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