A global financial services company is looking for a Treasury specialist to manage cash and collateral activities within a high-growth environment. Responsibilities include daily operational oversight of treasury activities, responding to regulatory queries, and managing a team. Candidates should have considerable experience in settlements, strong decision-making abilities, and knowledge of liquidity risk management. Familiarity with financial regulations and proficiency in Python, SQL, and Excel are advantageous.
#J-18808-Ljbffr