Treasury Product Control recruitment
An opportunity to strengthen your current product exposure, gain major project exposure and develop your career within the Group Treasury of a leading bank.
You will provide support to the FX and Money Markets trading desks and produce, analyse provide commentary on daily PL and Risk. You will undertake price verification of the positions and manage the general ledger reconciliation processes at month end. The role will involve face-off to senior staff within the business that will include trading heads, risk, projects and IT.
You will have a background in Product Control, with specific focus on Treasury / FX products and have an accounting qualification / background within the role. Your IT skills, stakeholder management and relationship development abilities will all be excellent.