Treasury & FX Manager (M/F)
Job Summary:
We are seeking a seasoned Treasury and Foreign Exchange professional to join our team as a Treasury & FX Manager. The successful candidate will be responsible for overseeing daily FX operations, providing market quotes, managing FX exposures, and contributing to the development of our FX platform.
Main Responsibilities:
* Oversee daily FX spot, forwards, swaps, and position management for our own account.
* Provide market quotes upon request to other business lines.
* Manage FX exposures and hedging strategies in alignment with our risk appetite.
* Contribute to the development and optimization of our FX platform.
Required Skills:
* A master's degree in finance, economics, or a related field is required; advanced degrees or professional certifications are a plus.
* 2-5 years' experience in treasury and/or FX activities, trading support, risk management, or market operations is essential.
* Strong understanding of FX (spot, forwards, swaps) and money market products (loans & deposits, swaps, repo / reverse repo) and position management concepts.
Certifications:
An extract from the criminal record may be requested as evidence of integrity and justification for the specific needs of the position.