Treasury Dealer - SME Bank
Prestigious, City based international bank are seeking Treasury specialist to join their small front office team.
- Daily liquidity management of the Bank.
- Executing transactions (swap, forward, IRS) depending on the necessities of asset-liability and liquidity management.
- Capable of understanding the risks (exchange rate, liquidity) the Bank faces and making suggestions to mitigate these risks.
- Building relationships with financial institutions, create opportunities to provide fund to the Bank.
- Searching for secondary market transaction opportunities (primarily bond and promissory bond trades) and performing them taking into account the availability of the Bank?s liquidity.
- Seeking someone ideally with 3 years + in a Treasury front office.
This job was originally posted as www.cityjobs.com/job/959586985