This large International bank based in London are looking to strengthen their busy Treasury Data management team. This role will suit an accurate and numerate candidate who has gained previous Swift payments, FX/MM settlements and Standard settlement instructions work experience within a financial institution. Duties will include:- Input and verification of SSI’s for FX/MM, and Commercial Payments. Account Opening/closing and maintenance and general static data registrations. Input and verification of various rates and holidays across EMEA branches. Completion of Audit Balance confirmation requests from clients and auditors. Full banking benefits apply.