Treasury Analyst
Posted 30 days ago · 0 applicants
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The role in plain words
- Bachelor’s degree in Economics / Business Administration / Accounting
- At least 3 years of experience in FX derivatives / financial risk management / Treasury
- Strong knowledge of hedging instruments and derivatives
- Solid understanding of FX exposure and market risk management
- Experience working with financial systems
Extracted from the job description · kept up to date automatically
Who this suits
Full job description
Original listing · kept for referenceThis role offers a unique opportunity to take ownership of FX risk management and financial trade operations while working closely with banks, financial institutions, and internal stakeholders.
Responsibilities:
• Daily interaction with banks, financial institutions, trading rooms, and finance departments
• Perform reconciliations and valuations
• Handle client documentation and prepare credit requests
• Monitor and manage FX risk exposures
• Operate and control financial transactions
• Work during market trading hours
Requirements:
• Bachelor’s degree in Economics / Business Administration / Accounting
• At least 3 years of experience in FX derivatives / financial risk management / Treasury
• Strong knowledge of hedging instruments and derivativesmandatory
• Solid understanding of FX exposure and market risk management
• Experience working with financial systems
• Fluent English
• Familiarity with financial regulation
Questions about this role
- This listing did not state a salary. We only show pay when the employer publishes it.
- Bachelor’s degree in Economics / Business Administration / Accounting, At least 3 years of experience in FX derivatives / financial risk management / Treasury, Strong knowledge of hedging instruments and derivatives, Solid understanding of FX exposure and market risk management, Experience working with financial systems