Senior Analyst, Treasury & Markets (operations & B
تفاصيل الوظيفة
Job Summary
Responsibilities:
Treasury PAPSS Settlement Management
- With the help of Manager (Treasury PAPSS Settlements) initiate all approved overdraft facilities across the PAPSS and process them in the Core Banking System
- Daily bank accounts and banking structure administration and maintenance of the PAPSS system
- Assist the Manager (Treasury PAPSS Settlements) with intra-day as well as end-of-day processes
- Working with the Manager (Treasury PAPSS Settlements) to provide support and assist with the continuous improvement of PAPSS settlement process to enhance the existing process framework and settlement structure.
- Assist the Manager (Treasury PAPSS Settlements) in identifying analysing and reporting short term liquidity and funding requirements under the PAPSS settlement system
- Assist the Manager (Treasury PAPSS Settlements) with the day-to-day management and upkeep of the PAPSS overdraft and surpluses portfolio
- Liaising with internal legal team on loan documentation
- Assisting in developing treasury PAPSS settlement control systems
- Assisting the wider treasury PAPSS team with payments processing overdraft requests etc.
Client Relationship Management:
- Maintain participants settlement accounts monitor & reconcile collections payments
- Assist the Manager (Treasury PAPSS Settlements) with the management of communications with the PAPSS participants on settlement matters
- Maintain Bank Mandates for all PAPSS members and manage their queries
Cash Management:
- Assist with day-to-day cash control monitor balances prepare reports that will provide guidance on status position and overtime performance of PAPSS members
- Assist the Manager (Treasury PAPSS Settlements) with all SWIFT related activities
Foreign Exchange:
- Liaise with trading partners (Afreximbank Treasury Team) for FX monitoring and trading opportunities
Other:
- Any other duties that may be assigned to the role holder by Senior Management from time to time.
Requirements:
- A minimum of 3 years of experience working in a treasury settlement function either in a corporate institution but preferably in the financial services industry.
- A first degree in a relevant discipline i.e. accounting financial management economics numerical or other related disciplines and a postgraduate degree in a relevant field. Recognised professional certification in a relevant field may be acceptable in lieu of a post graduate degree;
- Recognised Professional Qualification in Treasury Settlements will be a strong added advantage;
- Good grounding in financial systems database methodologies and financial modelling;
- Experience in working with Treasury Management Systems and/or inter-company netting processes;
- Operational experience in a financial department with significant systems exposure;
- Previous experience in a operations settlement environment and an understanding of treasury operations;
- People and project management;
- Knowledge of treasury debt capital markets financial instruments and structures;
- Advanced Excel skills and computer literacy (e.g. SQL Crystal Reports);
- Excellent verbal and written communication skills in English. Knowledge of the Bank's other working languages is an added advantage (French Arabic and Portuguese); and
- Demonstrated leadership capabilities including ability to organize and manage human resources from varied cultural backgrounds to attain goals.
Contractual Information:
- Permanent
- Willing and able to relocate to Cairo Egypt for the opportunity.
If you wish to apply for the position please send your CV to Caleb Ebrahim at .
Apply Now
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