Settlement of all Treasury related products, using RITS, Exigo and Murex for Domestic Products and Swift Alliance for all Foreign related products. Issuance of new Bonds to both Domestic and Foreign Markets. Liaise with Treasury Front Office and manage Liquidity portfolio. All staff are AFMA accredited and training is provided constantly. A great place to work but not enough opportunities to grow. A fast paced environment with many daily deadlines to meet.I enjoy the pressure and being able to see a transaction settle from a clients initial deposit to a nest egg investment for their future. A professional and highly regulated business.