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        • city of london, london
        • temporary
        • £375 - £415 per day
        • full-time
        Currently there is an exciting opportunity for a hands-on experienced individual with detailed knowledge of Euro Clearing, Liquidity Management & Cash Management. The candidate must also have detailed knowledge of intraday liquidity and be able to support post trade functions associated with securities settlement.Key responsibilities of the role will include: Supporting the funding across the firms account network. To be the central point of contact for the cash management of all nostro accounts on a daily basisReconciliation of Intellimatch for cash funding breaks , narrating and updating, escalating accordinglyMinimisation of operational risk of the group, maintaining control over processes and challenging continuallyEnsure desk procedures are kept up to date and explore efficiency improvementsMinimise the operational risk associated with the role, working on ad-hoc projects with internal stakeholdersLiaise with the business and other support groupsPrimary responsibility for identifying and understanding intraday liquidity risk on a day to day basis; and where relevant to mitigate intraday provisionIdentification of nostro agent data quality issues preventing accurate real time positions from being obtained intradayLiaison with nostro agents to resolve identified issues including intraday v statement referencing differences preventing automating in the reconciliation processRaises issues to Operations Senior Management as well as to Treasury and Liquidity Risk ManagementPost trade settlement engagement with the business and customers to support aged fails Necessary experience needed for this role will include: Financial markets, Euro Clearing, Liquidity Management and Cash funding experience predominantly based within top tier firmsExperience managing a strategic real time messaging system with associated real time database and extensive experience resolving live production issuesKnowledge of Intraday Liquidity Management stress testing models and relevant data pointsDetailed understanding of the requirements associated with nostro cash funding.Experience of Cash Clearing Systems such as TARGET2, EBA, CHAPS, FedwireKnowledge of the mechanics associated with Securities SettlementsKnowledge of forward cash ladders and reconciliation systemsKnowledge of SWIFT payment systems and connectivity to a Cash & Liquidity Management applicationKnowledge of SWIFT MT 103, 202, 210, 900, 910, 940, 942, 950, 545, 547 messaging standardsUnderstands the operational risk framework and is acutely aware of the Front Office environment at play and how the team function complements itExperience of Euclid/Easyway and SWIFT, in addition Gloss, Murex and Intellimatch experience would be usefulSmartStream Intra-Day Liquidity Module knowledge and post settlement Claims / Investigations preferableNetwork management experience is also preferableProduct understanding of Finance and Outright business If you have similar experience to that outlined above and are looking for an opportunity within a progressive and dynamic environment, please forward your CV today.Randstad Financial & Professional encourage applications from individuals of all ages & backgrounds. Appointment will be made on merit alone but candidates must be able to demonstrate their ability to work in the UK. Randstad Financial & Professional acts as an employment agency for permanent recruitment & an employment business for temporary recruitment as defined by the Conduct of Employment Agencies & Employment Business Regulations 2003
        Currently there is an exciting opportunity for a hands-on experienced individual with detailed knowledge of Euro Clearing, Liquidity Management & Cash Management. The candidate must also have detailed knowledge of intraday liquidity and be able to support post trade functions associated with securities settlement.Key responsibilities of the role will include: Supporting the funding across the firms account network. To be the central point of contact for the cash management of all nostro accounts on a daily basisReconciliation of Intellimatch for cash funding breaks , narrating and updating, escalating accordinglyMinimisation of operational risk of the group, maintaining control over processes and challenging continuallyEnsure desk procedures are kept up to date and explore efficiency improvementsMinimise the operational risk associated with the role, working on ad-hoc projects with internal stakeholdersLiaise with the business and other support groupsPrimary responsibility for identifying and understanding intraday liquidity risk on a day to day basis; and where relevant to mitigate intraday provisionIdentification of nostro agent data quality issues preventing accurate real time positions from being obtained intradayLiaison with nostro agents to resolve identified issues including intraday v statement referencing differences preventing automating in the reconciliation processRaises issues to Operations Senior Management as well as to Treasury and Liquidity Risk ManagementPost trade settlement engagement with the business and customers to support aged fails Necessary experience needed for this role will include: Financial markets, Euro Clearing, Liquidity Management and Cash funding experience predominantly based within top tier firmsExperience managing a strategic real time messaging system with associated real time database and extensive experience resolving live production issuesKnowledge of Intraday Liquidity Management stress testing models and relevant data pointsDetailed understanding of the requirements associated with nostro cash funding.Experience of Cash Clearing Systems such as TARGET2, EBA, CHAPS, FedwireKnowledge of the mechanics associated with Securities SettlementsKnowledge of forward cash ladders and reconciliation systemsKnowledge of SWIFT payment systems and connectivity to a Cash & Liquidity Management applicationKnowledge of SWIFT MT 103, 202, 210, 900, 910, 940, 942, 950, 545, 547 messaging standardsUnderstands the operational risk framework and is acutely aware of the Front Office environment at play and how the team function complements itExperience of Euclid/Easyway and SWIFT, in addition Gloss, Murex and Intellimatch experience would be usefulSmartStream Intra-Day Liquidity Module knowledge and post settlement Claims / Investigations preferableNetwork management experience is also preferableProduct understanding of Finance and Outright business If you have similar experience to that outlined above and are looking for an opportunity within a progressive and dynamic environment, please forward your CV today.Randstad Financial & Professional encourage applications from individuals of all ages & backgrounds. Appointment will be made on merit alone but candidates must be able to demonstrate their ability to work in the UK. Randstad Financial & Professional acts as an employment agency for permanent recruitment & an employment business for temporary recruitment as defined by the Conduct of Employment Agencies & Employment Business Regulations 2003
        • city of london, london
        • contract
        • £450 - £500 per year
        • full-time
        Operations Business Analyst - Liquidity & Cash Management Our client has an exciting opportunity for an experienced individual with detailed knowledge of Euro Clearing, Liquidity & Cash Management. The candidate must also have detailed knowledge of intraday liquidity and be able to support post trade functions associated with securities settlement. Responsible for ensuring completion of daily obligations in accordance with Head Office Rules, Regulations and Compliance policy for all Euro Clearing, Liquidity Management and Cash funding responsibilities. Daily Responsibilities:Supporting the funding across the firm's account network. To be the central point of contact for the cash management of all nostro accounts on a daily basisReconciliation of Intellimatch for cash funding breaks, narrating and updating, escalating accordinglyMinimisation of operational risk of the group, maintaining control over processes and challenging continuallyEnsure desk procedures are kept up to date and explore efficiency improvementsMinimise the operational risk associated with the role, working on ad-hoc projects with internal stakeholdersLiaise with the business and other support groupsPrimary responsibility for identifying and understanding intraday liquidity risk on a day to day basis; and where relevant to mitigate intraday provisionIdentification of nostro agent data quality issues preventing accurate real time positions from being obtained intradayLiaison with nostro agents to resolve identified issues including intraday v statement referencing differences preventing automating in the reconciliation process Raises issues to Operations Senior Management as well as to Treasury and Liquidity Risk ManagementPost trade settlement engagement with the business and customers to support aged fails Skills and experience:Financial markets, Euro Clearing, Liquidity Management and Cash funding experience predominantly based within top tier firmsExperience managing a strategic real time messaging system with associated real time database and extensive experience resolving live production issues Knowledge of Intraday Liquidity Management stress testing models and relevant data pointsDetailed understanding of the requirements associated with nostro cash funding.Experience of Cash Clearing Systems such as TARGET2, EBA, CHAPS, FedwireKnowledge of the mechanics associated with Securities SettlementsKnowledge of forward cash ladders and reconciliation systemsKnowledge of SWIFT payment systems and connectivity to a Cash & Liquidity Management applicationKnowledge of SWIFT MT 103, 202, 210, 900, 910, 940, 942, 950, 545, 547 messaging standardsUnderstands the operational risk framework and is acutely aware of the Front Office environment at play and how the team function complements itExperience of Euclid/Easyway and SWIFT, in addition Gloss, Murex and Intellimatch experience would be usefulSmartStream Intra-Day Liquidity Module knowledge and post settlement Claims / Investigations preferable If you have similar experience working as an Operations Business Analyst and are looking for a new and exciting contract, please forward your CV today. Randstad Financial & Professional encourage applications from individuals of all ages & backgrounds. Appointment will be made on merit alone but candidates must be able to demonstrate their ability to work in the UK. Randstad Financial & Professional acts as an employment agency for permanent recruitment & an employment business for temporary recruitment as defined by the Conduct of Employment Agencies & Employment Business Regulations 2003
        Operations Business Analyst - Liquidity & Cash Management Our client has an exciting opportunity for an experienced individual with detailed knowledge of Euro Clearing, Liquidity & Cash Management. The candidate must also have detailed knowledge of intraday liquidity and be able to support post trade functions associated with securities settlement. Responsible for ensuring completion of daily obligations in accordance with Head Office Rules, Regulations and Compliance policy for all Euro Clearing, Liquidity Management and Cash funding responsibilities. Daily Responsibilities:Supporting the funding across the firm's account network. To be the central point of contact for the cash management of all nostro accounts on a daily basisReconciliation of Intellimatch for cash funding breaks, narrating and updating, escalating accordinglyMinimisation of operational risk of the group, maintaining control over processes and challenging continuallyEnsure desk procedures are kept up to date and explore efficiency improvementsMinimise the operational risk associated with the role, working on ad-hoc projects with internal stakeholdersLiaise with the business and other support groupsPrimary responsibility for identifying and understanding intraday liquidity risk on a day to day basis; and where relevant to mitigate intraday provisionIdentification of nostro agent data quality issues preventing accurate real time positions from being obtained intradayLiaison with nostro agents to resolve identified issues including intraday v statement referencing differences preventing automating in the reconciliation process Raises issues to Operations Senior Management as well as to Treasury and Liquidity Risk ManagementPost trade settlement engagement with the business and customers to support aged fails Skills and experience:Financial markets, Euro Clearing, Liquidity Management and Cash funding experience predominantly based within top tier firmsExperience managing a strategic real time messaging system with associated real time database and extensive experience resolving live production issues Knowledge of Intraday Liquidity Management stress testing models and relevant data pointsDetailed understanding of the requirements associated with nostro cash funding.Experience of Cash Clearing Systems such as TARGET2, EBA, CHAPS, FedwireKnowledge of the mechanics associated with Securities SettlementsKnowledge of forward cash ladders and reconciliation systemsKnowledge of SWIFT payment systems and connectivity to a Cash & Liquidity Management applicationKnowledge of SWIFT MT 103, 202, 210, 900, 910, 940, 942, 950, 545, 547 messaging standardsUnderstands the operational risk framework and is acutely aware of the Front Office environment at play and how the team function complements itExperience of Euclid/Easyway and SWIFT, in addition Gloss, Murex and Intellimatch experience would be usefulSmartStream Intra-Day Liquidity Module knowledge and post settlement Claims / Investigations preferable If you have similar experience working as an Operations Business Analyst and are looking for a new and exciting contract, please forward your CV today. Randstad Financial & Professional encourage applications from individuals of all ages & backgrounds. Appointment will be made on merit alone but candidates must be able to demonstrate their ability to work in the UK. Randstad Financial & Professional acts as an employment agency for permanent recruitment & an employment business for temporary recruitment as defined by the Conduct of Employment Agencies & Employment Business Regulations 2003

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