LMAX Group
Singapore
This is an extremely broad role providing first line Treasury support with the key purpose being to undertake a variety of tasks to aid back office processes and planning & operations whilst ensuring that principles and controls for risk management are adhered to and monitored. Main Duties & Responsibilities: Perform day to day reconciliations of broker position. Including: Working closing with Treasury Cash Team to assist in cash and liquidity management as well as assisting with collating regular reporting for senior management. Working with the Treasury Operations Team to ensure sound back office Treasury operations and providing cover as required Ensure broker FX rolls are performed, client requests are dealt with and providing cover as required. Assisting with updating and managing client’s overnight FX funding and staying abreast with FX market news and developments. Identifying and recommending Treasury system and process improvements to support business...