Related skills
sql python tableau excel power bi๐ Description
- Support daily BAU Treasury operations and processing.
- Manage end-to-end funding across multiple currency corridors.
- Execute settlements across CCY pairs with accuracy and timeliness.
- Monitor intraday liquidity and escalate shortfalls.
- Liaise with counterparties, custodians, and internal teams to resolve discrepancies.
- Develop and maintain data analytics, reporting tools, and MI packs.
๐ฏ Requirements
- 3-6 years of experience in Treasury Operations or related role.
- Experience in fintech EMI or Payment Institution environment.
- Hands-on funding and settlement across multiple currency corridors.
- Strong data analysis skills; Excel and SQL/Python/Tableau/Power BI preferred.
- Familiarity with FX markets, liquidity management, and correspondent banking.
- Professional qualification such as ACT or CFA, or equivalent.
๐ Benefits
- Competitive salaries and performance bonuses.
- Health coverage and 24/7 employee assistance program.
- Generous vacation including year-end shutdown.
- Hybrid working environment (3 days per week in the office).
- Learning stipend and role-specific training.
- Diversity and inclusion with team events and activities.
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