Job Description
Are you passionate about financial markets and ready to take on a challenging yet rewarding role in a dynamic environment?
We're looking for an experienced professional to join our client as a Senior Treasury Dealer where you will manage the Channel Islands' foreign exchange and money market books. Bring your expertise to our Guernsey-based team and make a meaningful impact!
Responsibilities will include:
- Operating the Bank’s Money Market, Repo, and Foreign Exchange books to maintain optimal liquidity and ensuring compliance with internal and regulatory standards.
- Preparing deposit rate sheets, providing personalised deposit rates, and offering clients informed insights on global economic trends and market movements.
- Executing interbank trades, monitoring foreign exchange exposure, and maintaining interest rate risk within limits, enhancing the Bank’s returns responsibly.
- Strengthening interbank counterparty connections, promoting the Bank’s services, and assisting in developing new and existing client relationships.
What We’re Looking For:
A results-driven professional with strong trading experience, exceptional numerical and communication skills, and the ability to thrive in a fast-paced environment. If you’re ACI Diploma-qualified with Repo market expertise, then this would be a significant asset!
Take the next step in your career—apply now with a copy of your CV or give Marcel a call on 714 634 to be be part of a team shaping the future of Treasury operations!