Our client , a global financial institution with a strong operational footprint, is looking for a motivated professional to join the Corporate Treasury Operations team. This is a unique opportunity to grow within a dynamic environment that supports banking, securities, and asset management functions, with a strong focus on risk management and process integrity.
Key Responsibilities :
- Liaise directly with Investment Advisors, Hedge Funds, Mutual Funds, Private Equity firms, and Pension Funds to collect financial performance data.
- Update and maintain fund information including Net Asset Values (NAVs), performance data, and other key financial metrics in credit systems.
- Collaborate with funds to gain deeper insights into their strategy, performance, and asset composition.
- Work closely with the internal credit team to proactively identify and assess potential risks.
- Receive on-the-job training to build industry-specific expertise.
Ideal Candidate Profile :
Strong attention to detail with the ability to manage multiple tasks effectively.Excellent organizational and interpersonal skills.Clear and professional communication style with a diplomatic approach.Self-motivated team player who can work independently and adapt quickly.Basic knowledge of accounting or financial analysis.Familiarity with Excel for data management and reporting.Bachelor’s degree required (students in the final stages of their studies are also welcome to apply).This role provides a great opportunity to gain exposure to international financial institutions and to develop valuable skills in credit risk analysis and fund evaluation.
Apply now to be part of a dynamic, professional environment where your contributions matter.