This expanding international securities trader is offering an exceptional career opportunity to join the cash management team.
A rounded understanding of Capital Markets business across Derivatives, Fixed Income and Equities is required. Your responsibilities will include instructing a wide-
ranging agent network on cash matters, monitoring and investigating breaks in the post payment environment, processing of Swift payments and general reconciliation and control of potential risk issues.
The organisation is implementing Gloss previous use and knowledge of the system would be a distinct advantage.