* Perform regular operational tasks to support the Middle Office Treasury Team.
* Independently manage ad-hoc requests from Management, Front Office, Risk Management, Banking IT, and Back Office.
* Contribute to Treasury Business Process Review activities by critically assessing and improving existing processes.
* Redesign and reimplement tasks, manage discussions to reallocate roles and responsibilities with other teams, automate manual tasks, and create or enhance documentation and Standard Operating Procedures (SOPs).
* Occasionally provide support to the Middle Office Treasury Team on specific tasks related to strategic initiatives, including quantitative analysis and the development or implementation of analytical tools.
Requirements
* Solid understanding of financial topics, including the valuation of financial assets, performance analysis, and risk analysis.
* Experience in Treasury operations within a banking environment.
* Proficiency in SQL, Excel, and databases.
* Independent, proactive, and inquisitive mindset with the ability to take ownership of tasks and bring them to completion.