Citi Belfast is seeking an Operations Intermediate Analyst - Cash Management Treasury Operations to forecast and analyze firm currency cash balances and support Corporate Treasury transactions.
The role offers a hybrid work model (up to 2 days home per week) with a competitive base salary and benefits, and opportunities to collaborate with Front Office, Compliance and Finance across the Markets Operations team.
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Hybrid Treasury Operations Analyst β Cash Management employer: Citibank (Switzerland) AG
Citi London is an exceptional employer, offering a dynamic work culture that fosters innovation and collaboration across global teams. With a strong focus on employee growth, you will have access to extensive training and development opportunities while working in a hybrid environment that promotes work-life balance. Join us to be part of a forward-thinking organisation that values your contributions and empowers you to drive meaningful change in the financial services industry.