Profile :
Degree in finance or a related field
Professional qualificationssuch as ACI dealing certificate or CFA
At least 2 years of experience in the banking/global businesssector in a treasury trading environment
Ability to devise financial reports and other intelligence documents Knowledge of structuring of derivative products for risk management
Tasks:
Devise strategies to mitigate foreign currency risk exposure
Cultivate and maintain working relationships with partners to ensure proactive and comprehensive coverage across various markets Analyse client financials Understand clients’ business and strategic linkages and the role of stakeholders Analyse client return risk profile and assist in elaborating cash management strategy
Experience with currency overlay desirable
Ensure that continuous reporting maintained with the client
Provide Support in operational or administrative tasks when required
Knowledge of treasury products, services and strategies of the back office operations Dependability, accuracy, attention to detail, ability to prioritize tasks Assist in performing settlements Liaise with clients and assist in the on boarding process Experience in drafting reports Liaise with accounting partners for account conciliation, including handling payment and follow-up
Perform general administrative tasks, including copies, send and follow-up on signed agreements, filing/archiving of agreements on the contract management system
Good communication skills, might have to handle incoming calls Carry-out other administrative tasks assigned by management
To apply email your CV and motivation letter on: query@financier.com