Profile :
>Degree in finance or a related field
>Professional qualifications such as ACI dealing certificate or CFA
>At least 2 years of experience in the banking/global business sector in a treasury trading environment
>Ability to devise financial reports and other intelligence documents
>Knowledge of structuring of derivative products for risk management
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>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
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>To apply email your CV and motivation letter on: query@financier.com