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cer Financial are working alongside a bank who are based in the City of London. They are seeking a Senior Dealer/Treasury Manager to work with them on a permanent basis. In this role you will encompass all aspects of treasury operations and requires broad skills and depth of knowledge across the treasury spectrum.
The Responsibilities of a Senior Dealer/Treasury Manager Will Include:
* Managing the financial risks of London Branch. The financial risks are interest rate risk, foreign exchange rate risk, liquidity risk, and leverage risk to a degree that complies with Head Office’s policy and authorities’ requirements.
* Design/implementation of various risk management balance sheet strategies, including funding strategies to match with investment portfolio and loan portfolio.
* Monitoring interbank trading limit, derivative (FX swap and forward), and money market and investment transactions of dealers.
* Ensuring and handling the fund-raising activities and cost of borrowing funds are timely informed to The Management Committee.
* Managing daily cash movements/balances, cash flow projections of multi-currency accounts and making decisions to cover short liquidity or lend surplus liquidity for maximizing the profit for the branch.
* Preparing/Monitoring the daily, weekly, monthly, and quarterly reports for local authorities, Head Office and The Management Committee and responding to any ad-hoc enquiries regarding treasury’s operations.
* Setting up targets for the team and motivating staff in order to fulfill the business plan and maintain high business standards.
* Educating inline personnel about financial risks and creating board-level risk management policies compliant with Head Office’s guidelines and instructions.
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