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JOB PURPOSE
The job holder will be responsible for executing money market and fixed income transactions within the limits allocated with a view to maximize profitability. To ensure optimal funding mix and funding cost while ensuring risk and liquidity levels are aligned with the overall strategy of the bank. The position is responsible for generating revenue through active trading and management of the various treasury products while mitigating underlying risks to ensure growth of the bank’s forex business on a sustainable basis. The focus is to generate FX income and management of various risk for the bank in addition to funding the bank through various FX products.
KEY RESPONSIBILITIES
Money Market/Foreign Exchange Trading
Cash & Liquidity Management
Compliance and Controls
Personal Leadership & Development:
Risk & Compliance
DECISION MAKING AUTHORITY
Funding & investment decisions
Risk management decisions
ACADEMIC BACKGROUND
WORK EXPERIENCE
SKILLS & COMPETENCIES
PROFESSIONAL CERTIFICATION
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