The world’s moving so fast, so does the currency rate. In one second it can be great, the next second it’s vice versa. In FX Treasury team, we should be aware of the current trends and financial status of the world economy. Our values are attention to details and a strong hold over maths and accounting. We deal with graphics, rate analysis and foreign markets on a daily basis. Our goal is to give our clients information about the best exchange rates to transact with.
What you should have:
- More than 1 year of experience as a banker (knowledge in FX is a plus).
- Knowledge of FX risk management, techniques, and strategies.
- Has good communication skills.
- Strong willingness to learn new things.
What you’ll contribute on:
- Manage forex product performance by ensuring scalability, reliability, and security.
- Execute foreign exchange (FX) transactions with accuracy and timeliness.
- Conduct analysis and monitoring of FX portfolios and market rates to support business decisions.
- Support daily FX financial operations to maintain smooth and efficient processes.