Co-operative Bank
Banking + 2 more
Description
Skills, Competencies and Experience
The successful candidate will be required to have the following skills and competencies:
- A minimum 4 years proven experience in corporate relationship management, foreign exchange, or related financial roles.
- A Bachelor’s degree in a business-related field.
- ACI Dealing Certification.
- A good understanding of macroeconomics and current economic trends
- Knowledge of risk management covering operational risk, market risk and credit risk
- Integrity, professionalism, and compliance consciousness.
- Exceptional communication and negotiation skills to interact effectively with clients and internal stakeholders
- Confident decision-making and problem-solving capabilities.
- Strong analytical prowess.
- Leadership acumen.
- Demonstrates extensive experience and strong expertise in derivative products.
Responsibilities
- Develop and nurture strong relationships with corporate clients to understand their financial objectives, risk tolerance, and treasury requirements.
- Collaborate with clients to assess their exposure to foreign exchange risk, interest rate risk, and other market uncertainties.
- Provide expert advice and customized solutions to help clients achieve their financial goals.
- Execute foreign exchange transactions, including spot, forward, and options contracts, to help clients manage currency risk associated with international trade and investment.
- Provide guidance on hedging strategies, and other risk management tools to mitigate financial exposure.
- Work closely with the trading desk to ensure accurate and timely execution of transactions.
- Monitor global financial markets, economic indicators, and geopolitical developments to provide clients with relevant market insights.
- Analyze market trends and currency movements to identify opportunities for clients to optimize their treasury management strategies.
- Prepare and deliver presentations or reports on market outlook and potential implications for clients.
- Develop a deep understanding of various financial instruments, including foreign exchange, interest rate derivatives, money market instruments, and structured products.
- Stay updated with regulatory changes, compliance requirements, and industry best practices affecting corporate treasury services.
- Assess and manage the risk associated with client transactions, ensuring alignment with the institution’s risk management policies and regulatory guidelines.
- Maintain a high level of compliance and adherence to FX Global code in all dealings and transactions.
- Provide clients with accurate information about the risks and benefits of different financial products.
- Collaborate with internal teams, such as risk management, compliance, operations, branch network to ensure seamless execution and delivery of treasury solutions.
- Liaise with Corporate and Institutional Banking Division business teams to understand client needs and preferences, as well as to identify cross-selling opportunities.
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