Treasury Cash Forecast Analyst - Intermediate

Treasury Cash Forecast Analyst - Intermediate

Full-Time No working from home possible
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Citi Belfast is seeking an Operations Intermediate Analyst - Cash Management Treasury Operations to forecast and manage firm currency cash balances. The role involves analyzing data, collaborating with internal stakeholders, and supporting project implementations in a global financial environment.

You'll join Markets Operations in Belfast's Titanic Quarter, enjoy a hybrid work model and a comprehensive benefits package while developing in a diverse, inclusive team.

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Treasury Cash Forecast Analyst - Intermediate employer: Citigroup Inc.

Citi is an exceptional employer that fosters a dynamic work culture in the heart of London, where innovation meets compliance. As an AI-Driven Securities Finance Product Lead, you will have access to unparalleled growth opportunities, collaborating with top-tier professionals across various teams to shape the future of finance through cutting-edge AI solutions. With a commitment to employee development and a focus on delivering strategic value, Citi stands out as a rewarding place for those seeking meaningful contributions in a regulated environment.

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Contact Details:

Citigroup Inc. Recruitment Team