Interbank Treasury Dealer

Permanent vacancy
add to list
view job list
contact us
apply now
Extensive knowledge of financial markets/instruments/regulations, economic theories particularly as it relates to fixed income investing
Good relations on market to acquire interbank limits
Proficiency in Bloomberg, Reuters, Excel, and other research/data compilation tools
Excellent communication skills and ability to work with other team members toward a common goal
Flexibility and adaptability to a dynamic environment within a growing firm

Fixed Income Portfolio Management
Implement and execute fixed income strategy
Manage fixed income portfolios
Source, analyse, trade and monitor individual securities in the municipal, corporate, and
Government sectors
Maintain Broker/ Interbank relationships to ensure proper coverage and best execution in fixed income

Money Market Deals
Management of bank daily liquidity position;
Maintain the bank's investment portfolio accounting system;
Investing excess cash balances to maximise returns.

Foreign Currencies
Interbank dealing and trading foreign currencies.

For further information on package and full job spec please contact us.
We continually demonstrate our dedication by exceeding our clients’ expectations each and every time we work together.