Job Description
Responsibilities:
• Generate revenue through the execution of client orders as well as through the hedging of client positions.
• Maintain the banks investment portfolio accounting system and manage the daily liquidity position of the bank.
• Service Corporate Treasury sales pricing / structuring requirements and risk management of resultant positions.
• Monitor Inter-bank borrowing and lending of deposits and loans as well as inter-bank trading in foreign currencies.
• Contact banks and brokers daily to collect interest rates, and invest accordingly to maximize the return of the portfolio.
Requirements:
• University Degree in Finance or equivalent.
• Minimum 5 years relevant background experience of both trading FX and money markets in a financial institution in the GCC.
• Experience with first generation exotic options and mitigating risk while managing a portfolio.