I have been exclusively instructed on a brilliant role with a market leading client of mine. The role sits within the Financial Markets team, within Treasury, and will be responsible for:
- Execute the Groupβs dealing activities in liquidity, foreign exchange and interest rate derivatives with a focus on liquidity investments and interest rate derivatives optimization.
- Monitor liquidity, currency and rates markets, refine market intelligence and present strategies within the team and Group Treasury.
- Lead financial market product development innovation, from assessment to internal business case approval and commercial implementation.
- Support Copper market monitoring and hedging strategies execution in collaboration with commercial teams.
- Develop and maintain reporting and performance analytics.
- Engage and collaborate with stakeholders and relationship banks.
- Deliver against set performance targets, contributing to team efforts to maintain operational discipline and ensure quality of service.
- Promote a culture of innovation, knowledge sharing and continuous improvement.
Skills and Other Qualifications
- At least 6-8 years of financial markets experience with a track record of commercial execution in asset management, international corporate treasury, commodity trading or banking.
- Strong understanding of financial instruments and financial market dynamics.
- Advanced Excel modelling skills.
- Experience with Bloomberg/Reuters and electronic execution platforms is preferred.
- Desired 1SAP system and process knowledge.
- Tertiary level qualification in Finance/Economics/Mathematics or related degree qualification.
- CFA or Masters in Applied/Quantitative Finance would be an advantage.
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Contact Detail:
Brewer Morris Recruiting Team