Operations Analyst Role Summary
This is an exciting opportunity to work in a dynamic and fast-paced environment with a leading financial institution.
The ideal candidate will possess:
* A very high degree of accuracy required in all transaction processing;
* Excellent interpersonal and communication skills;
* Time-management skills and ability to prioritise work flows;
* Ability to work to deadlines in a pressurised environment;
* Strong analytical skills;
* Knowledge of treasury products;
* Good PC skills including knowledge of Microsoft Office packages (EXCEL, Access, Word, etc).
We are seeking an experienced Operations Analyst to join our Treasury Operations team in Dublin. This is a 6-month fixed term contract role that requires a high degree of accuracy and exceptional interpersonal and communication skills.
Key Responsibilities:
1. Timely and accurate confirmation/verification of money market and foreign exchange trades;
2. Timely and accurate settlement of money market and foreign exchange trades post the confirmation and verification process;
3. Immediate escalation of trade booking discrepancies to traders/management and timely resolution of same;
4. Ensuring client needs are understood and excellent levels of client service are provided;
5. Closing liaison with the Balance Management, Balance Analysis and Reconciliations teams to ensure breaks are resolved in a timely and effective manner;
6. Responding to client queries (written/verbal) in a timely manner;
7. Identifying and implementing process improvements;
8. Updating daily/monthly reporting as directed.