A global investment manager is seeking a Cash & Treasury Operations Analyst 2 for a 12-month Fixed Term Contract in Horsham, England. The role involves handling cash flows, managing repo and money market placements, and executing various payment methods. Ideal candidates will demonstrate a strong understanding of operational risks, Treasury products, and will possess excellent analytical and communicative skills. This position offers a chance to work in a fast-paced environment while contributing to critical cash operations.
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