Operations Officer

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Working with an international bank seeking an Operations Officer to join their London team. This is a broad , hands-on role primarily looking at Treasury Products and Corporate Trade Finance. This is a 6 month contract, requiring 5 days in an office and will be paying £250 per day.


Key Responsibilities:

  • Manage end-to-end transaction flows across Treasury products (FX/MM, derivatives, securities) and Corporate/Trade Finance products including syndicated and bilateral loans.
  • Oversee booking, settlement, confirmations, reconciliations and investigation of breaks across multiple asset classes.
  • Support custodial activities including client money & asset segregation, reconciliations and CASS reporting.
  • Maintain static data (SSIs, security set-up, rate fixes) and generate relevant SWIFT messaging (MT and pacs series).
  • Contribute to regulatory reporting (e.g. MiFID II / EMIR), UAT testing, system initiatives and operational project work.


Key Requirements:

  • 3+ years’ experience in Banking Operations with exposure to Treasury and/or Corporate & Trade Finance products.
  • Strong understanding of loan administration, clearing, settlement and reconciliation processes.
  • Commit to 5 days in a London office
  • Able to start within a month.


Please apply below or message Nicole Poole at Danos Consulting to learn more.

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Company: Danos Group
Apply for the Operations Officer
Location: London
Job Description:

Working with an international bank seeking an Operations Officer to join their London team. This is a broad , hands-on role primarily looking at Treasury Products and Corporate Trade Finance. This is a 6 month contract, requiring 5 days in an office and will be paying £250 per day.

Key Responsibilities:

  • Manage end-to-end transaction flows across Treasury products (FX/MM, derivatives, securities) and Corporate/Trade Finance products including syndicated and bilateral loans.
  • Oversee booking, settlement, confirmations, reconciliations and investigation of breaks across multiple asset classes.
  • Support custodial activities including client money & asset segregation, reconciliations and CASS reporting.
  • Maintain static data (SSIs, security set-up, rate fixes) and generate relevant SWIFT messaging (MT and pacs series).
  • Contribute to regulatory reporting (e.g. MiFID II / EMIR), UAT testing, system initiatives and operational project work.

Key Requirements:

  • 3+ years’ experience in Banking Operations with exposure to Treasury and/or Corporate & Trade Finance products.
  • Strong understanding of loan administration, clearing, settlement and reconciliation processes.
  • Commit to 5 days in a London office
  • Able to start within a month.

Please apply below or message Nicole Poole at Danos Consulting to learn more.

Posted: May 2nd, 2026