Join a leading global financial institution where you'll play a pivotal role in supporting treasury activities across international markets. This is an opportunity to lead operational excellence within a high-performing team, helping to ensure the smooth settlement of complex treasury transactions while driving process improvements and strengthening controls.
What you’ll be doing
- Oversee the end-to-end processing and settlement of treasury products including FX, Money Markets, Securities, Repo and Derivatives.
- Manage cash movements, funding activities and reconciliations to support effective liquidity management.
- Act as a senior escalation point for operational issues, working closely with Front Office, Risk, Finance and external counterparties.
- Drive operational improvements, automation initiatives and enhancements to controls and governance.
- Support regulatory reporting, change projects and system enhancements.
- Provide day-to-day guidance to team members while helping to deliver a resilient, efficient Treasury Operations function.
What you’ll bring
- Proven Treasury Operations experience within an international banking environment.
- Strong knowledge of treasury products, settlements, SWIFT messaging, cash management and reconciliations.
- Experience working within a controlled, risk-focused operational environment.
- A track record of improving processes and supporting change initiatives.
Treasury Operations Manager employer: dnevo Partners
dnevo Partners is an exceptional employer that fosters a vibrant startup culture, encouraging innovation and collaboration among its team members. With a strong focus on employee growth, the company provides clear pathways for career advancement in the rapidly evolving fintech sector across the UK and Europe. Join us to be part of a dynamic environment where your contributions directly impact our success and where you can thrive professionally.