Treasury Manager recruitment
Responsibilities
• Analyze the market and propose hedging strategy for Treasury Committee
• Implement trading decisions approved by Treasury Committee at best possible rates
• Monitor and manage Group’s currency, interest rates and counterparty exposures
• Assist Business Units in FX conversion, settlement issues and facilities requirements
• Gather market intelligence and provide appropriate feedback to Treasury Committee
• Alert Treasury Committee on major market events that may affect our hedge positions
• Maintain good relationship with our panel of counterparty banks
• Provide support to treasury team and backup Chief Dealer
Requirements
• Degree in finance or banking, preferably with relevant professional qualification
• At least 5 years working experience in FX and Money Market in bank/corporate
• Experience in Spot/Forward FX, Swaps, NDF and Options
• Knowledge of Bonds, Money Markets, Cash Management and settlement an advantage
• Strong analytical skills and proficient in fundamental and technical analysis
• Good knowledge of statistical packages, Reuters and Bloomberg
• Numerate and well skilled in MS suite of programs, especially Excel and PowerPoint
• Strong team player with positive attitude, good communication and inter-personal skills
• Responsible, sharp, responsive and can work under pressure
Interested applicants are invited to submit your full resume including current and expected salaries, contact number to recruitment@rgei.com
We regret that only short-listed candidates will be notified. All personal information collected will be treated with strict confidence and used solely for the purpose of recruitment selection only.