Our client is a well-established international banking institution with a strong presence across Europe, the Middle East and international markets. Combining decades of banking heritage with a growing UK franchise, the organisation has built a reputation for delivering relationship-led banking services across corporate banking, trade finance, treasury and international banking. As part of continued growth within the London operation, an opportunity has arisen for a Junior Treasury Dealer to join a close-knit team of high calibre individuals. This is an excellent opportunity for an ambitious banking professional seeking broad exposure across Treasury, Liquidity Management, Foreign Exchange, Settlements and Credit. Initially focused on treasury and operational activities, the role offers a genuine pathway into wider banking disciplines, including exposure to the Credit function over time. The successful candidate will work closely with senior management and gain hands-on experience across a variety of front-to-back banking activities within a highly visible and commercially important role. Support the day-to-day management of the Bank's liquidity position Support daily treasury reporting and profitability analysis Assist with counterparty bank relationship management and onboarding activities Ensure positions remain within approved risk parameters Assist in managing Net Open FX Positions and overnight limits Support the management of stop-loss limits and risk controls Risk, Controls & Compliance Ensure activities remain within the Bank's risk appetite framework Support adherence to FCA, PRA, Bank of England and UK MAR requirements Assist with operational controls and first-line risk management responsibilities Escalate operational issues and potential risks promptly and appropriately Support due diligence and onboarding reviews for banking counterparties Collaborate with colleagues across Treasury, Operations, Risk and Credit Participate in projects and process improvement initiatives across the business At least 1 years previous exposure to Treasury Operations, Treasury Dealing, FX Operations, Settlements, Money Markets or Banking Operations Experience gained within a regulated banking environment Strong Excel skills and confidence working with treasury systems Experience using Bloomberg or similar market data platforms would be advantageous but not mandatory A positive attitude, willingness to learn and desire to broaden your banking knowledge Join a growing international bank with a long-established global presence Work directly alongside experienced banking professionals and senior management Excellent long-term development opportunity within a growing UK operation Broad and varied role offering genuine career progression Permanent and unrestricted Right to Work in the UK For more jobs like this, simply search "Market Talent" on Google. Visit our website directly to view additional live opportunities and set up personalised job alerts.