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Treasury settlements

Harrow
LJ Recruitment
£27,500 a year
Posted: 1 December
Offer description

Senior Associate - Treasury Settlements

Permanent | Harrow | £27,500

A leading financial services organisation is seeking an experienced Senior Associate to join its Treasury Settlements Department. This is an excellent opportunity for a detail-driven, organised, and proactive individual to support critical back-office Treasury operations, ensuring accurate and timely settlement of daily FX, Money Market, and investment activities.

Role Overview

The Senior Associate will play a key role in supporting Treasury and Settlement operations, ensuring full compliance with internal controls and regulatory guidelines. You will manage daily settlement workflows, support oversight of investment and FX activities, and contribute to a high-performing operations function.

This is a fantastic opportunity for candidates with strong Treasury operations, settlement, or banking back-office experience who are ready to step into a responsible, fast-paced environment.

Key Responsibilities

Support day-to-day Treasury and Investment operational activities, including FX/MM settlements, Nostro account position-keeping, and investment portfolio processing.

Provide training, support, and knowledge sharing to junior team members, ensuring consistent performance and departmental coverage.

Maintain strong controls through proactive monitoring, ongoing training, and risk assessment activities.

Support staff performance processes, including reporting, appraisal input, and performance documentation.

Oversee the verification of system rates (Finacle/Core) and monitor currency positions across multiple Nostro accounts.

Review FX and Money Market deals, investigate discrepancies, and ensure timely resolution.

Execute back-office investment processes, including buy/sell transactions, coupon payments, and settlement activities.

Process and validate bilateral and corporate borrowing details, including interest or coupon payments.

Oversee daily payments, SWIFT releases, and query resolution.

Verify key treasury and investment reports before submission, including valuation reports, derivatives reports, MIFID reports, and Schedule 8.

Liaise directly with internal and external auditors and respond to audit queries.

Escalate operational issues and obtain necessary approvals for brokerage or other settlement-related payments.

Maintain accurate records and support the preparation of audit documentation.

Skills & Competencies

Strong experience within banking operations, Treasury settlements, or back-office functions

Excellent organisational and planning skills

Supervisory or people-management capability

Strong analytical and critical thinking ability

Effective problem-solving skills

Excellent written and verbal communication skills

High attention to detail and accuracy

Ability to identify process gaps and contribute to operational improvements

Strong relationship-building skills with both internal and external stakeholders

Key Stakeholder Interaction

You will work closely with:

Front Office

Middle Office

Accounts

International operational hubs

External counterparties and custodians

Internal audit and compliance teams

Reporting Line

Reports into: Assistant/Deputy Manager - Treasury Settlements

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