صاحب العمل نشط
• Support the Head of International Treasury compile annual business plan - set objectives & targets and focus on growth & expansion of the MM Operations.
• Continue to build strong relationships with key international entities requiring MM activities.
• Buy/sell deals in various currencies and ensure robust MIS reporting that focuses on profitability and revenue.
• Monitor and perform trading in various MM instruments such as; deposits, loans, short-term securities, forward rate agreements and interest rate swaps - predominantly in Asia.
• Work with other departments to meet their Liquidity and MM requirements.
• Provide pricing support for foreign currency MM products.
دوام كامل