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Posted 29 July, 2026

Senior Associate - Treasury Settlement

Quantum Group
London, ENG, GB Full Time

Job Description

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JOB ROLE

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To assist with the administrative functions of the back office operations of the Treasury

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and Investment department of SBI London branch, ensuring the timely and efficient

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completion of days’ work in compliance with the stipulated guidelines instituted by the

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Bank.

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JOB RESPONSIBILITY

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FX/MM Wing

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• Responsible for the verification of SWIFT confirmations from the counterparties and deal tickets and the completion of deals on the system (Blotter)

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• Responsible for the daily generation of the Finacle Nostro report

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• Responsible for the linking of the system for the settlements diary (Excel) for position keeping of all major currencies

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• Responsible for the on-going update during the day of incoming and outgoing funds for the Dealers’ & to advise dealer’s positions of GBP, USD & Euro to facilitate placement & borrowing as required

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• Responsible for the daily retrieval of the GBP Main account balance, generating the end of day statement and positing of entries on Core

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• Responsible for the transfer of funds between the Nostro accounts as and when required to maintain the correct levels

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• Responsible for the update of all loans on floating rates including Bilateral and MTN

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• Responsible for forward deals to the dealers every evening and effect all SWIFT instructions

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• Responsible for giving the next day’s positions for GBP, USD and Euro to the Dealers & Responsible for projecting balances report to the CEO

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• Responsible for keeping positions for all other small currencies

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• Responsible for the preparation and production of blotters for all deals completed during the day

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• Responsible for the daily filing and the timely dispatch of paperwork to the warehouse on a regular basis

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• Responsible for generating branches incoming MT320 and MT300 from Core in line with stipulated guidelines & Responsible for sending out tracers for non-receipt of counterpart SWIFT confirmations

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Responsible for daily calculation of initial/variation margin and margin payments & receipts from counterparties.

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• Responsible for the generation of brokerage reports from Finacle, Treasury and making payments to all brokers after obtaining appropriate approval.

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• Responsible for daily/monthly/quarterly and annual reports

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• MIFID & compliance related items, including daily monitoring of AM/VM and payments for SBI London Branch.

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Investment Wing

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• To create counterparties, external/issuer/security definition in Finacle

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• Responsible for purchase/sale and maintaining investment book. This includes

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payment of coupons on a regular basis for London Branch for Investments

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purchased under advice to them which have to be diarised

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• Responsible for sending out swifts to Euroclear, and Correspondent Banks

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• Responsible for matching SWIFT confirmations. Also responsible for attending to all queries regarding securities

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• Responsible for informing Dealers for funding and Back Office for position keeping

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• Responsible for reconciliation of Euroclear account, i.e. all securities tallied with

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our books and also reconciliation of funds after inflow/outflow

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• Responsible for the payment of Euroclear fees after management approval, manually working out amounts payable by the London Branch and submitting claims to them

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• Responsible for Bonds and Futures trading & related monthly reports

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• Responsible for completing deals and sending out swifts (manual) to Nostro counterparties

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• Responsible for month end balancing of Euroclear portfolio and balances for London Branch.

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• Responsible for the monitoring of SECAOR file relating market valuation & checking & rectification of errors if any.

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• Responsible for schedule 8 on regular basis

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• To ensure the timely sharing of reports with Senior Management, Dealers and TMG group based in India

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• Responsible for dealing room and investment work

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• Responsible for any other duty as delegated by the Department’s Head or so designated office

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