Position Overview
Become a Regional Treasury Operations Specialist focused on Francophone Markets. Drive liquidity optimization and enhance operational performance through data analysis and relationship management.
This role involves overseeing liquidity workflows and executing trading activities within the Trading & Treasury function. You will utilize your analytical skills to build robust relationships with regional partners and improve performance across markets. As a detail-oriented professional, your work will significantly contribute to operational excellence within the organization.
Key Responsibilities:
• Own liquidity forecasting to meet transaction demands
• Execute regional trading activities effectively
• Build relationships with regional partners
• Ensure accurate fund reconciliation and resolve discrepancies
• Analyze market insights to mitigate operational risks
Requirements:
• Experience in Treasury Operations, especially in FX markets
• Bilingual in French ...