Join a forward-thinking, customer-focused financial services leader in a role where your knowledge and experience in cash management and reconciliations will make a real impact. We’re seeking an experienced Operations Analyst to join the Cash, Fees & Reconciliations team. You’ll work in a collaborative and supportive environment , supporting a range of clients while driving accuracy, compliance, and process improvements. What you’ll do: Manage daily reconciliations, cash payments, receipts & liquidity (multi-currency) Coordinate wholesale funding & interest rates Process fees for assets under management Liaise with custodians & key business partners Enhance risk controls & ensure compliance with audit standards Maintain procedures & uphold corporate risk policies What you’ll bring: Strong skills in reconciliations & cash management Experience of working in a similar role Excellent communication skills, detail focus & adaptability Degree in Finance, Business, or Commerce