Position Overview
Step into a vital role as a Regional Treasury Operations Specialist for Francophone Markets, where your contributions will ensure seamless liquidity processes and operational efficiency. Bring your analytical prowess to elevating partner engagement across regions.
In this individual contributor position within Trading & Treasury, you will take responsibility for liquidity forecasting and oversee trading execution. Your operational expertise will facilitate clear communication with partners, ensuring optimal performance and stability. This role suits a detail-oriented individual who prides themselves on precision and data-driven decision-making.
Key Responsibilities:
• Lead daily liquidity analysis and forecasting for regional funds
• Support efficient trading execution with defined parameters
• Manage relationships as the primary point of contact for partners
• Own the end-to-end fund reconciliation process
• Provide market insigh...