Job Description
Our client is looking for a Treasury Operations Specialists:
Responsibilities
– Execute foreign exchange transactions on behalf of clients in the local & international currency markets.
– Manage foreign exchange positions to achieve optimal returns while ensuring compliance with established limits and regulatory requirements.
– Maintain and grow relationships in accordance with the objectives of the Division’s Business Plan
– Execute liquidity management and funding strategies to ensure the Bank has liquidity or access to liquidity under normal and stressed conditions, in order to meet its commercial and prudential obligations.
– Ensure all activities are conducted in accordance with prevailing Risk and Investment Management Policies and Standards of Best Practices
Requirements
– Bachelor’s Degree in Business Management, Finance, Banking, Economics, Accounting or any other related discipline.
– A minimum of four (4) years’ experience in bond, money market, foreign exchange and portfolio management.
– CFA Designation or candidacy would be an asset.