A prestigious international Bank is seeking a new addition to its busy Treasury department.Your duties will include:Checking deal tickets (FX/MM, Bond/Repos etc)Confirmations & reconciliationsHandling queries regarding settlementsDaily trade activity and Profit & Loss reportingSWIFT paymentsStatic dataAssisting with operational projectsYour experience must include:At least 12 months treasury back office experience gained within bankingGood IT skills to include Excel & SWIFTDegree educatedExcellent communication skills both written and oral