An exciting career opportunity with a leading independent offshore bank and trust company, whose entrepreneurial spirit and unrelenting focus on clients’ needs, is at the heart of everything they do.
As a vital member of the treasury team, you will use your skills and knowledge gained from previous experience providing banking and foreign exchange dealing support, to support the day to day running of an assigned investment portfolio and the department.
Responsibilities will include:
Updating clients with foreign exchange rates
Monitoring current and forward foreign exchange exposure and actions as necessary, including carrying out spot and forward limit monitoring
Providing advice to clients and ensuring client requests comply with regulatory requirements
Accurately maintaining client foreign exchange dealing statistics
Providing rates for client deposits, pricing for client loans and publishing daily FX and deposit base rates
Experience and skills required:
Minimum 5 years’ experience within an active market environment, with exposure to inter-bank money and foreign exchange markets or fund execution
Ideally hold ACI Dealing Certificate or equivalent
Good technical knowledge of the workings of international treasury and capital markets
Ability to understand and interpret market and economic data, in order to provide advice to clients
Excellent prioritisation and time management skills and the ability to remain calm under pressure
We are an equal opportunity employer and value diversity at all times.