An exciting opportunity has arisen within an international bank for an addition to their Front Office.
Your responsibilities will cover:
Executing MM/FX as well as debt security trades
Managing currency positions
Overseeing daily cash & liquidity positions
Preparing Treasury forecasts and reports
Your experience must include:
Proven Treasury Dealer experience gained within banking
Excellent communication skills both oral & written
Strong IT skills
Degree educated
TPBN1_UKTJ