Join a fast-paced trading environment within a well-established bank, supporting the daily operation of Repo, Money Market and Foreign Exchange books. This is a fantastic opportunity for a recent graduate or someone early in their financial career to gain hands-on experience across treasury operations, client service and market activity. Full training will be provided as part of a supportive team environment.
Location
Guernsey,
Channel Islands
Duties for this role include, but are not limited to:
- Assisting in the day-to-day management of the Bank's Repo, Money Market and FX positions.
- Monitoring liquidity levels and managing correspondent bank balances in line with internal and regulatory requirements.
- Supporting reporting processes and maintaining the client deposit interest rate structure.
- Preparing and distributing deposit rate sheets and responding to ad hoc rate requests.
- Providing clients with FX quotations and covering exposure via the interbank market.
- Assisting in the promotion of treasury services to clients and counterparties.
- Helping to maintain and update internal procedure manuals and documentation.
Skills / Qualifications
The ideal candidate will have a strong academic background and may be a recent graduate or approaching degree completion. A high level of numerical accuracy, excellent time management and a calm, focused approach under pressure are essential. Applicants should be proactive, team-oriented and have excellent communication skills. Any prior experience in financial services, whether through an internship or permanent role, would be advantageous.
For a full job description or further information on this role please call , or email .