Treasury Control Analyst 12m FTC

  • Join a fast-paced Treasury team on a 12-month contract, managing cash positions, FX settlements, and liquidity across global agents and custodians.
  • Play a critical role in risk control, ensuring accuracy in funding, netting, and regulatory reporting for an international bank.
  • Ideal for detail-driven analysts with Treasury or Banking Ops experience, strong Excel skills, and a solid grasp of FX, Money Markets, and risk management.


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