Job Description
Are you an experienced treasury professional looking for a dynamic role in Repo, Money Markets, and Foreign Exchange?
Our Guernsey client is seeking a Senior Treasury Dealer to manage liquidity, optimise returns, and support client relationships.
Responsibilities will include:
- Overseeing the Bank’s Repo, Money Market, and FX operations, ensuring regulatory compliance
- Managing liquidity, maintaining interest rate risk exposure, and enhancing returns
- Providing clients with FX rate quotations and deposit interest rate structures
- Developing strong interbank relationships and offer insightful market opinions to treasury clients
If you have solid experience of active market trading, ideally with an ACI Diploma, and thrive in a fast-paced treasury environment, we would love to hear from you!
Get in touch today with a copy of your latest CV or give Damian a call on 714 634.