Treasury Officer, Operations and Services

il y a 1 semaine


Paris, France Asian Infrastructure Investment Bank Temps plein

Treasury Officer, Operations and Services The Asian Infrastructure Investment Bank (AIIB) is a multilateral development bank whose mission is Financing Infrastructure for Tomorrow in Asia and beyond-infrastructure with sustainability at its core. We began operations in Beijing in 2016 and have since grown to 110 approved members worldwide. We are capitalized at USD100 billion and AAA-rated by the major international credit rating agencies. Collaborating with partners, AIIB meets clients' needs by unlocking new capital and investing in infrastructure that is green, technology-enabled and promotes regional connectivity.
The primary responsibility of the Treasury Officer, Operations and Services is to ensure an efficient process of all the post-trading functions (confirmations, settlement, reconciliation, corporate actions management and cash flow forecast) of the Treasury activities. The incumbent will ensure that the Bank derivatives & repos portfolios are adequately collateralized. Additionally, the holder of this position will represent the team in various system or instrument implementation projects and working groups and liaise with outsourced services providers.
The Treasury Officer, Operations and Services reports to the Head of Treasury Operations & Services and will work closely with other Treasury staff members.

**Responsibilities**:

- Ensure completeness and correctness of trade bookings in the Trading and Treasury systems.
- Ensure correct and timely settlement of the Treasury transactions (securities, fixed income, derivatives). This position will focus mainly on processing the Treasury Liquidity transactions but will also support the colleagues in charge of Investment (Loans) and Funding (Borrowing) deals.
- Process the margin calls related to the derivatives and repos portfolios.
- Act as a key contributor in the implementation of various Treasury systems and instruments.
- Ensure all internal controls are duly performed and contribute to their effectiveness, in line with the evolution of the Bank
- Contribute to the daily cash and securities reconciliations.
- Monitor the correctness and completeness of work performed by the outsourced Middle and Back Office service provider.
- Act as focal point for internal and external audit queries and provide required reports, data and information.
- Implement data dashboards and contribute to their continuous feeding.
- Process monthly invoices for outsourced service providers.
- Contribute proactively to the improvement of the effectiveness and efficiency of the Treasury function by leveraging technology, driving automation, and defining best-in-class processes and procedures.

**Requirements**:

- Minimum 5-8 year of relevant professional experience in a leading international bank, preferably a multilateral development bank or international organization.
- Expertise with SWIFT, securities transactions, cash management, collateral management and treasury management systems.
- Experience with cash correspondent models and custodians.
- Demonstrated ability to respond effectively to clients' queries, requests, and needs.
- Demonstrated ability to identify key strategic issues, opportunities, risks and solutions.
- Ability to manage multiple tasks concurrently, prioritize effectively and adhere to deadlines while always paying attention to detail.
- Strong teamwork ethic and collaborative skills.
- Innovation and automation mindset.
- Excellent oral and written communication skills in English.
- Master's degree or equivalent in business administration or finance. Possession of relevant professional certifications would be an advantage.

Join in AIIB's mission to promote sustainable infrastructure investments and improve social and economic outcomes in Asia and beyond.
Previous experience and qualifications will determine the grade and job title at which successful applicants will enter AIIB.

ALL CURRENT VACANCIES
- Closing Date: All opportunities close at 11:59 p.m. (GMT+8) on the dates listed.
**Job Type: Recruitment of staff is conducted through a merit-based competitive selection process. AIIB shall strive to provide employment opportunities open to all suitably qualified applicants, regardless of religion, gender, race, disability, sexual orientation or nationality.



  • Paris, France Capital Fund Management Temps plein

    Paris, 75, FR**ABOUT CFM** We value innovation, dedication, collaboration and the ability to make an impact and together we create an environment for talented and passionate experts in research, technology and business to explore new ideas and challenge assumptions. **ABOUT THE ROLE** The strategy of CFM's Operations team is to deliver a high-quality...

  • Vp Treasury Sales Officer

    il y a 2 semaines


    Paris, France Bank of America Temps plein

    At Bank of America, we are guided by a common purpose to help make financial lives better through the power of every connection. We do this by driving Responsible Growth and delivering for our clients, teammates, communities and shareholders every day. Being a Great Place to Work is core to how we drive Responsible Growth. This includes our commitment to...


  • Paris, France LSEG (London Stock Exchange Group) Temps plein

    LSEG (London Stock Exchange Group) is more than a diversified global financial markets infrastructure and data business. We are dedicated, open-access partners with a dedication to excellence in delivering the services our customers expect from us. With extensive experience, deep knowledge and worldwide presence across financial markets, we enable businesses...

  • EMEA Treasury Analyst

    il y a 2 semaines


    Paris, France ProPosition Management Search Temps plein

    Our client, a leading Multinational Company in the Retail & Wholesale Industry, is currently looking for an : EMEA Treasury Analyst Reporting to the EMEA Treasurer the candidate will join the EMEA Treasury team that manages liquidity, mitigates financial risk, and supports strategic initiatives such as M&A and digital transformation and will support and...

  • Treasury & Cash Specialist

    il y a 2 semaines


    Paris, France Naboo Temps plein

    Join to apply for the Treasury & Cash Specialist role at Naboo Contract Details 📃 Permanent Contract (CDI) 📍Location: Paris, France 💰 Salary: Competitive (based on experience) Responsibilities Cash Operations & Forecasting: Manage daily cash positions, short‑ and long‑term forecasts, and reconciliations. Banking & Relationships: Maintain...

  • EMEA Treasury Analyst

    il y a 2 semaines


    Paris, France ProPosition Management Search Temps plein

    Our client, a leading Multinational Company in the Retail & Wholesale Industry, is currently looking for an:EMEA Treasury AnalystReporting to the EMEA Treasurer the candidate will join the EMEA Treasury team that manages liquidity, mitigates financial risk, and supports strategic initiatives such as M&A and digital transformation and will support and...


  • Paris, France Asian Infrastructure Investment Bank Temps plein

    Treasury Officer, Client Solutions The Asian Infrastructure Investment Bank (AIIB) is a multilateral development bank whose mission is financing the Infrastructure for Tomorrow-infrastructure with sustainability at its core. We began operations in Beijing in January 2016 and have since grown to 110 approved Members worldwide. We are capitalized at USD100...

  • Treasury Analyst Europe

    il y a 3 jours


    Paris, Île-de-France CHANEL Temps plein

    Location:136 CDG, Neuilly-sur-SeineReports to:Treasury & Corporate Finance Manager - EuropeContract: Full-time and permanent position.Chanel:At CHANEL, our values are grounded in creating the conditions for people to perform at their best and feel fulfilled and confident in their work.The department:Treasury is an integrated Finance department actively...


  • Paris, France Tikehau Capital Temps plein

    **Mission**: - [FR]_ Vous rejoindrez la Direction Financière (notamment l'équipe Financement & Trésorerie), dans le cadre d’un stage d’une durée de 6 mois, qui a pour objectif d'accompagner le développement des entités opérationnelles du Groupe, à travers quatre départements: financement & trésorerie, contrôle financier, comptabilité &...


  • Paris, France Tikehau Capital Temps plein

    **Mission**: - [FR] _ Vous rejoindrez la Direction Financière (notamment l'équipe Financement & Trésorerie), dans le cadre d’un stage d’une durée de 6 mois, qui a pour objectif d'accompagner le développement des entités opérationnelles du Groupe, à travers quatre départements: financement & trésorerie, contrôle financier, comptabilité &...