FM Sales Manager or Treasury Manager
Summary R&R
Manages FX dealing or trading engages in financial market transactions evaluates investment opportunities in currencies with clients and oversight on assets and liability management.
Job Detail
- FX risk management and development of FX risk mitigation strategies.
- Price and execute live foreign exchange spot forward and swap transactions through electronic channels.
- Strive to deliver efficient FX solutions to corporate customer and internal team.
- Managing foreign currency exposure and foreign currency payments.
- Focus on creating relationships with clients directly and by leveraging a high quality internal and external network.
- Execute in trading selling/buying foreign currency (USD THB EUR AUD GBP and HKD) to gain profit for the bank.
- Monitor foreign currency in case customers take to deposit such as THB.
- Work closely with RM and other product partner to identify the valueadded to such targeted customers.
- Manage money market deal with interbank.
- Produce daily weekly and monthly reports such accrued interest profit and loss and other reports as requires.
- Respond and support client for booking FX.
- Assets and liabilities management.
- Other tasks are assigned by General Manager/CEO.
Qualifications
- Bachelors or Masters degree in the related Finance Banking Economics Business Administration or similar.
- Minimum 5 years experiences in banking industry in area of FX ALM trade finance treasury etc.
- MultiTasking capability results oriented displays consistent performance positive thinker with good attitude and interpersonal skills.
- Possess a dynamic personality with strong interpersonal problem solving good communication skills and management skills.
- Excellent written and verbal communication skills in English and third language would be a plus.
Remote Work :
No