This will include but is not limited to:
- Execution of all daily reconciliation and control processes such that any abnormal transactions are identified, investigated, and corrected
- Execution of daily safeguarding tasks (client money segregation and reconciliation)
- Resolving daily issues impacting our customers or ability to demonstrate control of funds held by Currencycloud
- Daily reconciliation tasks completed on time and to a very high standard
- FCA safeguarding tasks completed on time and to a very high standard
- Continuous improvement of Treasury and Control processes
This is a hybrid position. Expectation of days in office will be confirmed by your hiring manager.
This is a 15 month fixed term contract role.

