Operations Intermediate Analyst - Cash Management Treasury Operations

Citi Handlowy

Belfast, United Kingdom
Base: annually reviewed; bonus/equity: discretiona...
Hybrid
Cash forecasts
Process improvement recommendations
Resolve complex issues
The Operations Intermediate Analyst - Cash Management Treasury Operations - is responsible for forecasting, investigation and treasury cash funding of firm currency balances

Job Summary

  • The Operations Intermediate Analyst - Cash Management Treasury Operations - is responsible for forecasting, investigation and treasury cash funding of firm currency balances.
  • Work in partnership with internal stakeholders across multiple business and product to validate data and ensure accuracy of cash forecasts.
  • By joining Citi Belfast, you will not only be part of a business casual workplace with a hybrid working model (up to 2 days working at home per week), but also receive a competitive base salary (which is annually reviewed), and enjoy a whole host of additional benefits.

Matching Summary

The Operations Intermediate Analyst - Cash Management Treasury Operations - is responsible for forecasting, investigation and treasury cash funding of firm currency balances.

Salary

Base: annually reviewed; Bonus/Equity: discretionary annual performance related bonus; Benefits: Private medical insurance, Pension Plan, Paid Parental Leave, Special discounts, Generous holiday allowance

Skills & Requirements

Must-have

  • cash forecasts
  • process improvement recommendations
  • resolve complex issues
  • validate data accuracy
  • analyze data

Nice-to-have

  • global financial institution
  • supportive environment
  • diversity of thought
  • inclusion
  • learning and development resources

Key Requirements

  • Bachelor’s Degree/University degree or equivalent experience
  • Work experience with demonstrated ability to analyze data

Work Rights

Not specified

Tailored Resume

Cover Letter