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Treasury Back Office Administrator (f/m/d)

ExperiencedNo visa sponsorship

Posted 3 days ago

No clicks

**Treasury Back Office Administrator (f/m/d) in Prague at Deutsche Börse Group** - Key responsibilities: Process Treasury deals, validate trades, generate SWIFT payments, update SAP-CFM data, reconcile accounts, handle regulatory reporting, and collaborate with internal/external teams in shifts (8am-9pm). - Required skills: Expertise in Treasury functions and processes, experience with SAP/SAP S4 HANA, familiarity with SWIFT, strong network-building skills, problem-solving, and adaptability to learn new methodologies. - Experience level: Previous working experience in Back Office, including Treasury and Cash operations, preferred; university degree in finance or similar field a plus. - Work environment: Hybrid work model, flexible working hours, remote work options, comprehensive benefits package.

Compensation
Not specified

Currency: Not specified

City
Prague
Country
Czech Republic

Full Job Description

Prague

Your career at Deutsche Brse Group

Your area of work

Deutsche Brse Group (DBG) is one of the largest market infrastructure providers worldwide. As such one of its main goals is to promote the integrity, transparency, and security for both capital markets and the Group itself. The availability of a sound and robust Treasury framework is a key aspect in this process. You will play a crucial role within the Treasury Back Office team, by ensuring the accurate and efficient processing of the following tasks.


Your responsibilities

  • Processing of Treasury deals in the system for various entities within Deutsche Brse Group 
  • Detailed validation of the trades such as verification of counterparty, currency, amount etc.
  • Generation of SWIFT payments, generation and matching of confirmations (brokers & counterparts)
  • Update static data (business partners, securities) in SAP-CFM treasury module, reconcile all treasury accounts
  • Generation and follow up of settlement instructions (e.g. for bilateral repos, security purchase)
  • Verification and authorization of Customer FX transactions
  • Regulatory reporting and reconciliation
  • Participation in various projects (e.g. testing of new software version, automation of current processes) 
  • Close interaction with Treasury Front Office and Middle Office teams, communication with external counterparts
  • Working in 8 hours shifts to ensure the business coverage (in rotations between 8am 9pm )

 

Your profile

  • University degree in finance or similar field of studies is a plus
  • Previous working experience in Back office, including Treasury and Cash operations is an advantage  
  • Experience with SAP / SAP S4 Hana applications is an advantage
  • Knowledge of SWIFT
  • Responsible team player with capability to adapt and to quickly acquire new working methodologies
  • Independent troubleshooter, fast learner and stress-resistant
  • Good communication skills and ability/willingness to build network

 

You can look forward to our benefit package:

  • Hybrid Work and Flexible working hours
  • Work from abroad - 12 days of remote work from EU countries per year
  • Pension fund contribution - 3% of your gross salary (5% after 5 years with us)
  • Health & Wellbeing - fully covered Multisport card, life & accident insurance, 100% salary contribution during sick leave (up to 56 days)
  • 25 vacation days
  • Mobility - fully covered public transport in Prague & free parking
  • Flexible Benefit Account (Pluxee) - 1200 per month
  • Group Share Plan - discount on company shares
  • Free Access to E-Learning Platforms, Internal Development Programs, Mentoring & Learning Budget  

 

Treasury Back Office Administrator (f/m/d)

Compensation

Not specified

City: Prague

Country: Czech Republic

Deutsche Borse logo
Other

3 days ago

No clicks

at Deutsche Borse

ExperiencedNo visa sponsorship

**Treasury Back Office Administrator (f/m/d) in Prague at Deutsche Börse Group** - Key responsibilities: Process Treasury deals, validate trades, generate SWIFT payments, update SAP-CFM data, reconcile accounts, handle regulatory reporting, and collaborate with internal/external teams in shifts (8am-9pm). - Required skills: Expertise in Treasury functions and processes, experience with SAP/SAP S4 HANA, familiarity with SWIFT, strong network-building skills, problem-solving, and adaptability to learn new methodologies. - Experience level: Previous working experience in Back Office, including Treasury and Cash operations, preferred; university degree in finance or similar field a plus. - Work environment: Hybrid work model, flexible working hours, remote work options, comprehensive benefits package.

Full Job Description

Prague

Your career at Deutsche Brse Group

Your area of work

Deutsche Brse Group (DBG) is one of the largest market infrastructure providers worldwide. As such one of its main goals is to promote the integrity, transparency, and security for both capital markets and the Group itself. The availability of a sound and robust Treasury framework is a key aspect in this process. You will play a crucial role within the Treasury Back Office team, by ensuring the accurate and efficient processing of the following tasks.


Your responsibilities

  • Processing of Treasury deals in the system for various entities within Deutsche Brse Group 
  • Detailed validation of the trades such as verification of counterparty, currency, amount etc.
  • Generation of SWIFT payments, generation and matching of confirmations (brokers & counterparts)
  • Update static data (business partners, securities) in SAP-CFM treasury module, reconcile all treasury accounts
  • Generation and follow up of settlement instructions (e.g. for bilateral repos, security purchase)
  • Verification and authorization of Customer FX transactions
  • Regulatory reporting and reconciliation
  • Participation in various projects (e.g. testing of new software version, automation of current processes) 
  • Close interaction with Treasury Front Office and Middle Office teams, communication with external counterparts
  • Working in 8 hours shifts to ensure the business coverage (in rotations between 8am 9pm )

 

Your profile

  • University degree in finance or similar field of studies is a plus
  • Previous working experience in Back office, including Treasury and Cash operations is an advantage  
  • Experience with SAP / SAP S4 Hana applications is an advantage
  • Knowledge of SWIFT
  • Responsible team player with capability to adapt and to quickly acquire new working methodologies
  • Independent troubleshooter, fast learner and stress-resistant
  • Good communication skills and ability/willingness to build network

 

You can look forward to our benefit package:

  • Hybrid Work and Flexible working hours
  • Work from abroad - 12 days of remote work from EU countries per year
  • Pension fund contribution - 3% of your gross salary (5% after 5 years with us)
  • Health & Wellbeing - fully covered Multisport card, life & accident insurance, 100% salary contribution during sick leave (up to 56 days)
  • 25 vacation days
  • Mobility - fully covered public transport in Prague & free parking
  • Flexible Benefit Account (Pluxee) - 1200 per month
  • Group Share Plan - discount on company shares
  • Free Access to E-Learning Platforms, Internal Development Programs, Mentoring & Learning Budget