FX trader- Treasury

Michael Page

View: 149

Update day: 26-03-2024

Location: Genève Genève GE

Category: Finance / Bank / Stock

Industry:

Job type: Durée indeterminée

Loading ...

Job content

About Our Client

For our client, a financial company, we are currently looking for a FX Trader to handle the treasury and the market risk management (FX, IR and Commodities).

Job Description

Responsibilities

As part of the Treasury team, you are expected to:

  • Optimise short-term liquidity deposits in foreign currency
  • Take part in the daily management of the centralised Group liquidity
  • Enter the investment opportunities in the market
  • Understand and propose the best product to your internal client
  • Manage all hedging request (IR & FX)
  • Cash application and reconciliation of unidentified cash
  • Review the currency settlements of all subsidiaries
  • Assist on the various internal deliverables on interest rates and liquidity management

Exciting opportunity within a trading desk
Be part of a small team

The Successful Applicant

Your profile

  • At least 4-5 years of professional experience in a trading room or large treasury with a background in Finance
  • Strong expertise in Money Market and Interest rates management
  • Capacity to think in a multi-currency environment and to propose solutions
  • Strong organisational, prioritisation and analytical skills
  • Ability to focus and work independently, team player, eager to learn and to show initiative
  • Ability to communicate, present and tailor communication to stakeholders from various areas and locations
  • French and English languages

What’s on Offer

Great opportunity to join a well-established financial company

Loading ...
Loading ...

Deadline: 10-05-2024

Click to apply for free candidate

Apply

Loading ...
Loading ...

SIMILAR JOBS

Loading ...
Loading ...