Cash Management - Intern - Clearstream Fund Centre S.A., Cork Branch
  • Cork, Other, Ireland
  • via ClickaJobs (1)
-
Job Description

Learn. Develop. Grow. But always: Share value Join our international team that drives positive change, united by a spirit of openness and curiosity. We empower you to have an impact and to grow - personally and professionally. With us, you work at the heart of financial systems and evolve the way markets operate. We're excited about the future because we are the ones shaping it. Let's do this together by sharing value! Who we are Tracing its origins to 1585, Deutsche Borse Group has become one of the world's leading exchange organisations and an innovative market infrastructure provider. In this role, we provide investors, financial institutions and companies access to global capital markets. What's your part in all this? With your commitment you contribute to the success of our unique business model: offering a wide range of products, services and technologies for security, transparency and integrity on the markets. By creating trust in the markets of today and tomorrow we foster growth and contribute to the prosperity of future generations. Cork Your career at Deutsche Borse Group Your area of work: As a CFS Cash Analyst, you will be responsible for the daily reconciliation of cash that is held in internal cash accounts versus our cash correspondent banks. You will be responsible for ensuring the timely reconciliation of our cash accounts. Your responsibilities: Review of non-automatically reconciled cash items identified by the reconciliation processing. Daily reconciliation of recorded internal cash movements against cash movements on our external cash correspondent banks. Detailed investigation of cash differences to ensure that the cash can be assigned to the correct Unit as soon as possible. Regular reporting of open cash positions to internal stakeholders. Maintaining strong and effectively working connections to internal and external counterparties and understanding how they operate Have a continuous improvement mind set to seek out and implement new and better ways of achieving objectives, preventing errors or delays reoccurring, and automating and streamlining processes within the team. Be forward looking and solution minded. Provide a pro-active contribution to ensure individual and team targets and objectives are being achieved within required deadlines. Be risk aware and take all steps necessary to minimise errors, including fully complying with existing procedures and staying aware of procedure changes. Escalate and advise any relevant issues to Management, as necessary. Assist in project work where required. Your profile: Working towards a University degree in finance, business administration or similar field of studies, preferred but not required. Ideally, the candidate will have interest in investment funds. Previous working experience in finance or administration, including reconciliation tasks is an advantage. Good analytical skills and detail orientation. Excellent accuracy and attention to detail. Technical affinity (understanding and working with complex inhouse IT systems). Responsible individual with capability to adapt and to quickly acquire new working methodologies. Independent trouble shooter and fast learner. Strong team player in an international environment. Very good written and spoken English for daily communication with internal and external counterparties. Any other language is an advantage. #Clearstream

;