Operations Intermediate Analyst - Cash Management Treasury Operations

Citi

Belfast, United Kingdom
Hybrid
Cash forecasts for corporate treasury
Process improvement recommendations
Resolve complex issues
The Operations Intermediate Analyst is responsible for forecasting, investigation and treasury cash funding of firm currency balances

Job Summary

  • The Operations Intermediate Analyst is responsible for forecasting, investigation and treasury cash funding of firm currency balances.
  • Utilize systems in conjunction with professional judgement to make process improvement recommendations and resolve issues.
  • Citi offers a competitive base salary, generous holiday allowance, performance related bonus, private medical insurance, and access to learning and development resources.

Matching Summary

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

Skills & Requirements

Must-have

  • cash forecasts for Corporate Treasury
  • process improvement recommendations
  • resolve complex issues
  • validate data accuracy
  • analyze data in time-driven environment

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
  • Clear and concise written and verbal communication skills

Work Rights

Not specified

Tailored Resume

Cover Letter