Treasury Analytics and Operations Analyst (m|f|x) in London
Treasury Analytics and Operations Analyst (m|f|x)

Treasury Analytics and Operations Analyst (m|f|x) in London

London Full-Time 36000 - 60000 £ / year (est.) No home office possible
Go Premium
E

At a Glance

  • Tasks: Join our team to manage cash and collateral, ensuring smooth clearing operations.
  • Company: Dynamic financial institution with a focus on innovation and growth.
  • Benefits: Competitive salary, pension scheme, and opportunities for professional development.
  • Why this job: Gain hands-on experience in treasury operations and make a real impact in the finance sector.
  • Qualifications: A Level education and interest in financial markets; automation skills are a plus.
  • Other info: Fast-paced environment with excellent career advancement opportunities.

The predicted salary is between 36000 - 60000 £ per year.

A highly motivated and detail-oriented Treasury Analytics and Operations Analyst is required to join our growing team, focusing on cash and non-cash collateral management and settlements for LME Clear. This role is crucial in ensuring the smooth and efficient operation of our clearing activities, particularly within the dynamic LME market. This position offers an excellent opportunity to gain exposure to all facets of treasury operations within a CCP environment, with significant growth potential as we expand our front office trading and investment activities.

  • Provide independent valuations of all collateral types
  • Partner with Clearing Services to ensure the timely settlement of cash between SPS banks and Treasury accounts
  • Partner with Clearing Services to maintain Default Management settlement instructions and procedures
  • Treasury Cash Settlement/Management:
  • Execute and monitor payment instructions related to margin calls, settlement obligations, and other treasury transactions.
  • Investigate and resolve settlement failures and discrepancies.
  • Ensure adherence to all relevant settlement deadlines and regulatory requirements.
  • Optimize settlement processes to improve efficiency and reduce risk.
  • Default Management:
    • Support the default management process by executing settlement-related activities in the event of a member default.
    • Process the liquidation of collateral and the distribution of funds according to LME Clear rules and procedures.
    • Collaborate with internal and external stakeholders to ensure the timely and efficient resolution of default events.
  • Analytics, Control & MI:
    • Develop and maintain key performance indicators (KPIs) and management information (MI) reports related to collateral management, settlements, and treasury operations.
    • Perform data analysis to identify trends, risks, and opportunities for improvement.
    • Contribute to the development and implementation of control frameworks to mitigate operational and financial risks.
    • Support the automation of treasury processes through the use of technology and data analytics tools.
    • Participate in projects to enhance treasury operations infrastructure and systems.
  • Relationship Management:
    • Build and maintain strong relationships with internal stakeholders (e.g., treasury investment, risk management, legal) and external counterparties (e.g., clearing members, custodians, banks).
    • Effectively communicate with stakeholders regarding operational issues and inquiries.

    Minimum of A Level education. Experience with financial data providers (e.g., Bloomberg, Refinitiv) is desirable. The Association of Corporate Treasurers (AMCT, CertTF) qualification or progress towards it is desirable. IMC/IOC qualification or progress towards it is desirable.

    Required Knowledge and Level of Experience:

    • Understanding of cash and non-cash settlements
    • Understanding of Treasury activities from an operations or front office perspective
    • Understanding of liquidity risk management across financial institutions and markets
    • A willingness to develop automation skills, including Python programming.
    • Interest in short term rates, money markets and fixed income markets.
    • Mechanics and processes behind clearing house risk management.

    Skills set and Core Competencies Required:

    • Strong analytical and practical skills.
    • Ability to work well within a team, to tight deadlines in a fast-moving environment.
    • Able to deliver individual work to a high standard in agreed timeframes.
    • Excellent communication skills, both verbal and written.
    • High self-motivation and drive to develop own skills.

    Personal Qualities:

    • Demonstrate appetite to work in a small organisation and be prepared to 'muck in' with daily team and department tasks.
    • Highly motivated and results-oriented.
    • Ability to work independently and as part of a team.
    • Strong attention to detail and accuracy.
    • Ability to work under pressure and meet deadlines.
    • Proactive and willing to take initiative.

    Treasury Analytics and Operations Analyst (m|f|x) in London employer: E Fundresearch

    Hong Kong Exchanges and Clearing Limited is an exceptional employer, offering a dynamic work environment in the heart of London where innovation meets tradition. As a Treasury Analytics and Operations Analyst, you will benefit from a culture that prioritises professional growth, with ample opportunities to enhance your skills in treasury operations while collaborating with a diverse team. The company also provides a comprehensive benefits package, including a robust pension scheme, ensuring that employees are well-supported both personally and professionally.
    E

    Contact Detail:

    E Fundresearch Recruiting Team

    StudySmarter Expert Advice 🤫

    We think this is how you could land Treasury Analytics and Operations Analyst (m|f|x) in London

    ✨Tip Number 1

    Network like a pro! Reach out to people in the industry, especially those working at Hong Kong Exchanges and Clearing Limited. A friendly chat can open doors that a CV just can't.

    ✨Tip Number 2

    Prepare for interviews by diving deep into the role. Understand cash and non-cash settlements, and brush up on your knowledge of liquidity risk management. Show them you’re not just another candidate!

    ✨Tip Number 3

    Practice your communication skills. Whether it’s verbal or written, being able to articulate your thoughts clearly is key. You want to impress them with your analytical skills and your ability to collaborate.

    ✨Tip Number 4

    Don’t forget to apply through our website! It’s the best way to ensure your application gets noticed. Plus, we love seeing candidates who are proactive about their job search.

    We think you need these skills to ace Treasury Analytics and Operations Analyst (m|f|x) in London

    Cash and Non-Cash Collateral Management
    Settlement Processes
    Treasury Operations
    Data Analysis
    Key Performance Indicators (KPIs)
    Management Information (MI) Reporting
    Automation Skills
    Python Programming
    Relationship Management
    Communication Skills
    Analytical Skills
    Attention to Detail
    Problem-Solving Skills
    Ability to Work Under Pressure
    Team Collaboration

    Some tips for your application 🫡

    Tailor Your CV: Make sure your CV is tailored to the Treasury Analytics and Operations Analyst role. Highlight relevant experience, especially in cash management and settlements, and don’t forget to mention any analytical skills or tools you’ve used that align with what we’re looking for.

    Craft a Compelling Cover Letter: Your cover letter is your chance to shine! Use it to explain why you’re passionate about treasury operations and how your background makes you a great fit for our team. Keep it concise but engaging – we want to see your personality!

    Show Off Your Analytical Skills: Since this role involves a lot of data analysis, make sure to showcase any relevant projects or experiences where you’ve used analytical tools or techniques. If you’ve dabbled in Python or other automation skills, let us know!

    Apply Through Our Website: We encourage you to apply directly through our website. It’s the best way to ensure your application gets into the right hands. Plus, it shows us you’re keen on joining our team at Hong Kong Exchanges and Clearing Limited!

    How to prepare for a job interview at E Fundresearch

    ✨Know Your Treasury Basics

    Before the interview, brush up on your understanding of cash and non-cash settlements. Familiarise yourself with key concepts in treasury operations, liquidity risk management, and the mechanics behind clearing house risk management. This will show that you’re not just interested in the role but also have a solid foundation to build upon.

    ✨Showcase Your Analytical Skills

    Prepare to discuss specific examples where you've used analytical skills to solve problems or improve processes. Whether it’s through data analysis or developing KPIs, be ready to highlight how your analytical mindset can contribute to optimising settlement processes and enhancing treasury operations.

    ✨Demonstrate Team Spirit

    This role requires collaboration with various stakeholders, so be prepared to share experiences where you’ve successfully worked within a team. Highlight your ability to communicate effectively and how you’ve contributed to achieving team goals, especially in fast-paced environments.

    ✨Be Ready to Discuss Automation

    Since the job involves supporting the automation of treasury processes, it’s crucial to express your willingness to develop automation skills. If you have any experience with programming languages like Python, make sure to mention it. Show enthusiasm for learning and adapting to new technologies that can enhance efficiency.

    Treasury Analytics and Operations Analyst (m|f|x) in London
    E Fundresearch
    Location: London
    Go Premium

    Land your dream job quicker with Premium

    You’re marked as a top applicant with our partner companies
    Individual CV and cover letter feedback including tailoring to specific job roles
    Be among the first applications for new jobs with our AI application
    1:1 support and career advice from our career coaches
    Go Premium

    Money-back if you don't land a job in 6-months

    E
    • Treasury Analytics and Operations Analyst (m|f|x) in London

      London
      Full-Time
      36000 - 60000 £ / year (est.)
    • E

      E Fundresearch

      50-100
    Similar positions in other companies
    UK’s top job board for Gen Z
    discover-jobs-cta
    Discover now
    >