Operations Intermediate Analyst - Cash Management Treasury Operations

Citigroup

Belfast, Northern Ireland, United Kingdom
Competitive base salary; discretionary annual perf...
Hybrid
Analyze data in time-driven environment
Process transactions and provide analytical input
Validate data accuracy across business units
This role is responsible for forecasting, investigation, and treasury cash funding of firm currency balances within the Equity Settlements Team

Job Summary

  • This role is responsible for forecasting, investigation, and treasury cash funding of firm currency balances within the Equity Settlements Team.
  • The position offers a hybrid working model allowing up to two days of remote work per week alongside a competitive base salary.
  • Employees benefit from a generous holiday allowance starting at 27 days plus bank holidays, private medical insurance, and a discretionary annual performance-related bonus.

Matching Summary

This role is responsible for forecasting, investigation, and treasury cash funding of firm currency balances within the Equity Settlements Team.

Salary

Competitive base salary; Discretionary annual performance related bonus; Generous holiday allowance and private medical insurance

Skills & Requirements

Must-have

  • Analyze data in time-driven environment
  • Process transactions and provide analytical input
  • Validate data accuracy across business units
  • Utilize systems with professional judgment

Nice-to-have

  • Strong written and verbal communication skills
  • Experience with process improvement recommendations
  • Ability to resolve complex issues independently
  • Partnership with internal stakeholders

Key Requirements

  • Bachelor's Degree in Business, Accounting, or Finance
  • Demonstrated ability to analyze data
  • Clear and concise communication skills

Work Rights

Not specified

Tailored Resume

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