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Senior Treasury Dealer

Closing: Jun 25, 2024

1 day remaining

Published: Jun 10, 2024 (15 days ago)

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Job Summary

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Requirements

  • B.Sc / M.Sc / MBA Accounting / Finance / Economics / Mathematics / Social Sciences or any related course
  • Candidate must have a minimum 2-4years progressive work experience in financial services sector.
  • Candidates are required to have strong quantitative, analytical and communication skills, relevant equivalent experience ideally in a banks Treasury or leading Boutique is essential
  • Good presentation & Negotiation skills
  • Effective documentation and keen eye for details
  • Willingness to work long hours, when necessary.

Responsibilities

Requirements

  • B.Sc / M.Sc / MBA Accounting / Finance / Economics / Mathematics / Social Sciences or any related course
  • Candidate must have a minimum 2-4years progressive work experience in financial services sector.
  • Candidates are required to have strong quantitative, analytical and communication skills, relevant equivalent experience ideally in a banks Treasury or leading Boutique is essential
  • Good presentation & Negotiation skills
  • Effective documentation and keen eye for details
  • Willingness to work long hours, when necessary.

Job Summary

  • The successful candidate will play a vital and accountable role in all aspects of executing fixed income transactions, daily liquidity management and communicating with clients and senior management daily.

Key Roles & Duties

  • Ensure portfolio meets day to day and long-term liquidity needs. This portfolio must be structured and managed within the parameters outlined in the credit, market, and counter party risk policy
  • Provide financial return for the organization while also providing liquidity to other business lines.
  • Develop and execute strategies to enhance returns across MCLs asset portfolios
  • Facilitate trade execution activities in Fixed income space while ensuring a high level of service to all clients.
  • Prepare and deliver reports, presentations and commentaries detailing historic performance, strategies, opportunities and risks for the ALCO, MIC, and Board committees.
  • Build, onboard and maintain relationships with trading clients and inform clients of applicable market activity, changes in market structure, regulatory issues, or ad hoc requests.
  • Confirm all trades are booked accurately on daily basis and trade allocations are received from clients to be processed preventing
  • The risk of loss and client impact, resolving trade booking issues for clients, and ensuring settlement of trades occur.
  • Interaction with senior team members daily to execute transactions and discuss strategic alternatives

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