Liquidity Management Lead – Cash Forecasting

Liquidity Management Lead – Cash Forecasting

Full-Time No working from home possible
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State Street Corporation in Edinburgh is seeking an Officer to join the Liquidity Management team, supporting nostro positioning and funding across the EMEA region. You will oversee daily BAU activity, provide escalation support to the management team and act as a role model for the wider team.

The role requires clear communication, sound judgement and the ability to stay calm in time-critical environments, with exposure to cash forecasting, funding calculations and reports to senior management.

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Liquidity Management Lead – Cash Forecasting employer: STATE STREET CORPORATION

State Street Corporation is an exceptional employer located in the vibrant city of London, offering a dynamic work culture that fosters collaboration and innovation. Employees benefit from comprehensive growth opportunities, competitive compensation, and a commitment to professional development, making it an ideal place for those seeking meaningful and rewarding careers in risk management.

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Contact Details:

STATE STREET CORPORATION Recruitment Team