A international bank is looking for a skilled Operations Officer to support its Treasury and Operations teams. This role offers a varied mix of regulatory reporting, treasury operations, SWIFT support, and customer service, with direct exposure to key internal and external stakeholders.
Key Responsibilities:
* Assist the Head of Operations with daily activities and resilience planning.
* Prepare and submit REP017 reports and ensure compliance deadlines are met.
* Act as a SWIFT coordinator, managing queries and system updates.
* Verify and settle treasury transactions, ensuring accuracy and timely execution.
* Produce intra-day liquidity and other management reports.
* Complete EMIR and MiFID II reporting accurately and on time.
* Onboard and review treasury counterparties.
* Review Nostro reconciliations and troubleshoot treasury-related issues.
* Support outsourcing, third-party risk, and policy reviews.
* Engage with vulnerable customers with empathy and care, following internal policy.
* Provide support during audits, projects, and departmental improvements.
Essential Must have Experience:
1. Experience in banking operations, preferably with treasury or regulatory exposure.
2. Familiarity with SWIFT, liquidity reporting, and compliance processes.
3. Strong organisational skills and attention to detail...