Trader in Corporate Treasury – Paris, France recruitment
Globally recognised corporation looking to add a senior salesperson to its multi product team. This is a pivotal role reporting to the European Head of Treasury in the UK/ Europe Head Office based in Paris. The successful applicant shall be responsible for the re-design and implementation of the cash flow forecasting process, liaise with business, corporate treasury and tax units to ensure funding meets all future cash-flow need and play a significant role in managing the European Rates exposure.
The candidate is required to focus on:
-Managing the company’s European Rates exposures.
-Centralising and managing risk by implementing hedging strategies and presenting potential risks and returns to the European Head of Treasury
-Liaising with all European product and sales teams.
-Applying advanced risk analytics (eg. by pricing/ trading of financial derivatives, technical analysis., implementing use of exotic options)
Key Skills Required:
-Experience selling in the Rates cash space
- Proven track record of profit in this space.
- Hard working and energetic.
Interested candidate please kindly send your profile to
fifx@SelbyJennings.com or call 0044 207 019 4194