Middle Office Manager (Controls/Reports/Risk/Monitoring) – Treasury Products recruitment

This leading banking group is currently looking to recruit a Treasury Middle Office Manager for its London office.

This is a varied role with responsibilities covering controls, procedures and reporting (across Treasury / FX).  You will also be responsible for managing 2 individuals.

More specifically, responsibilities include:

- Monitoring of Front Office treasury activities
- Review improvement of operational procedures between front office and back office
- Production of management information and internal reports re profitability
- Define key risk indicators and alert senior management to any potential operational risk issues or unusual events in Treasury Middle Office activities
- Ensure compliance with regulatory requirements and group policy

The successful candidate will be an experienced Middle Office professional with strong expertise in controls, procedures and reporting, as well as a full knowledge of Treasury/FX products (including Repos, Bonds, FX etc). This treasury product knowledge is essential.  Candidates with settlements/trade support experience only will not be considered.

Supervisory experience and knowledge of Kondor+ would be beneficial.

This is a pivotal role with a front to middle office focus (not back office).