Foreign Exchange Dealer
Posted 13 days ago · 0 applicants
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The role in plain words
- Bachelor's degree in Finance, Economics, Business Administration or Accounting
- 3+ years of experience in FX derivatives, Treasury or Financial Risk Management
- Strong knowledge of FX Forwards, Swaps and Options
- Experience in trade control and financial operations with banks and financial institutions
- Solid understanding of FX exposures and market risk
- Experience in banks, trading rooms or financial institutions
- Candidates from Bank Leumi, Bank Hapoalim or similar organizations are highly preferred
- Knowledge of financial instruments regulation and accounting
Extracted from the job description · kept up to date automatically
Who this suits
Full job description
Original listing · kept for referenceFX Risk & Trade Operations Controller |
Responsibilities:
• FX risk monitoring and management
• Trade operations, controls and reconciliations
• Valuations, exposure analysis and credit-related documentation
• Daily interaction with banks, financial institutions, trading desks and finance teams
Requirements:
• Bachelor's degree in Finance, Economics, Business Administration or Accounting
• 3+ years of experience in FX derivatives, Treasury or Financial Risk Management
• Strong knowledge of FX Forwards, Swaps and Options
• Experience in trade control and financial operations with banks and financial institutions
• Solid understanding of FX exposures and market risk
• Advanced Excel and experience with Bloomberg and/or Reuters
• Fluent English – written and spoken
• Experience working with international stakeholders and overseas financial institutions
Advantage:
• Experience in banks, trading rooms or financial institutions
• Candidates from Bank Leumi, Bank Hapoalim or similar organizations are highly preferred!
• Knowledge of financial instruments regulation and accounting
Questions about this role
- This listing did not state a salary. We only show pay when the employer publishes it.
- Bachelor's degree in Finance, Economics, Business Administration or Accounting, 3+ years of experience in FX derivatives, Treasury or Financial Risk Management, Strong knowledge of FX Forwards, Swaps and Options, Experience in trade control and financial operations with banks and financial institutions, Solid understanding of FX exposures and market risk