Job Description
Dealing Strategy, Management of counterparty risks, Training, Dealing, Procedures, Market Positioning, Foreign exchange, and Fixed Income
Roles & Responsibilities
• To assist the Head of Treasury in implementing the Treasury Trading Agenda.
• To manage the Trading Team; optimal liquidity management, develop, agree, and implement Trading Strategy (FX Spot, Derivatives and Prop), ensuring optimum trading profits at acceptable risk and where appropriate influence the development of the market.
• To lead the Trading Team (FX&FI), coach Dealers under his jurisdiction and develop them to ensure growth to full potential.
The deadline for submitting the application is 17 April 2024.