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Job Purpose: Supported and monitored end-to-end treasury operations, ensuring regulatory compliance, operational efficiency, risk mitigation, and timely reporting. Key Responsibilities: • Process and settle daily treasury back-office transactions, including Foreign Exchange (FX), Money Market, Derivatives, Fixed Income, and other treasury products, ensuring accuracy and timely execution. • Perform end-of-day reconciliation of payment gateways, ensuring consistency between core banking... ***Key Performance Indicators: Non-financial: • Ensure accurate and high-quality transaction processing and reporting. • Fulfill all required training obligations and maintain a low level of customer complaints. • Deliver strong audit results with no significant findings. • Maintain full compliance with internal controls, operational procedures, and local regulatory requirements for treasury activities. Professional Requirements: • Strong knowledge of internal policies and external...