Opportunity Description
Your Role
As Treasury Operations Specialist at Bank J. Safra Sarasin you are part of a unique group environment where domestic and international cross‑divisional collaboration meets global impact. As a key member of a small, agile team, you will drive dynamic Treasury operations ranging from Cash‑Management, FX, Money Markets, Repos, and Securities Lending & Borrowing (SLB) to Collateral Management. Beyond this, you will play a pivotal role in safeguarding our cash‑balances through the precise monitoring and reconciliation of active positions across international markets.
Your Responsibilities
- Support of our main trading desk for all Treasury related tasks
- Execute and manage end‑to‑end collateral operations, including bookings, payments, and reporting
- Manage the full lifecycle of Interest Rate Swaps (IRS), Cross‑Currency Swaps (CCS), and Credit Default Swaps (CDS)
- Oversee OTC Derivatives risk reconciliation processes...
Ready to Apply?
Submit your application for Treasury Operations Specialist at Stiftung Weizenkorn
Apply for this Position