SR. DEALER

Deals in foreign exchange on a daily basis for the Bank.    Performs supervisory functions and exercises financial authority at the level established by Senior Management for this position.

Trades in major currencies such as US Dollars, Euros, Yen, and Sterling And other G10 and GCC currencies

Provides competitive foreign exchange pricing in area of expertise for Treasury and Investment products to Corporate, Government and Financial Institution clients on a daily basis. 

Markets foreign exchange spot and forward deals, swaps and other FX derivatives to client banks within the UAE, GCC region, Asia and North Africa.  Actively promotes pricing and provides liquidity to client banks. 

Develops and contributes to proposals and presentations to clients of Treasury, Investments and Risk Management proposals and presentations by report writing, newsletters and by direct interaction.

Negotiates on foreign exchange offerings through Treasury to clients where required.

Interacts with the Money market Department to provide  cheap /alternative funding borrowing opportunities and high yielding investment options by way of swaps in other currencies.

Covers large dealing transactions in inter-bank foreign exchange markets to minimise risk and tracks customer orders on the intraday and overnight markets.

Develops and maintains trading relationships with smaller customer banks in addition to larger international banks.

Develops Nationals as directed by senior management. Trains Junior Foreign Exchange Dealers as directed.

Undertakes similar or related tasks or duties as directed by senior management.

July 14, 2013 • Tags: , • Posted in: Financial

Leave a Reply

You must be logged in to post a comment.