Sunday, June 26, 2011

Foreign Exchange Trader

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The FX Trader will be responsible for the day to day risk management analytics regarding Global Foreign Exchange (FX) and Global Debt Portfolio. This position is responsible for recommending and executing FX and interest rate trades. The will also be responsible for identifying and establishing financial policies to minimize risk and maximize performance.

Dimensions:

Responsible for assisting in the realignment of the global FX and interestrate hedging reporting structure
Work collaboratively with the Senior Manager, Global FX & Interest Rates in the role of risk advisor in the creation of risk management policies, analytical models, analysis and recommendations to senior management.
Understand all global events that affect the FX and interest rate environment, economic trends, governmental actions and geo-political events
Validates and ensures consistent use of FX and Interest Rate derivatives
Trading FX and Interest Rate derivatives on behalf of all Company
Assists with other Treasury responsibilities as needed

Skills required:

Bachelors degree
7-10 years experience in treasury with an understanding of capital markets
Trading experience is required
Understanding of Accounting
Understanding of Economics and impacts of financial markets
Understanding of statistics and quantitative analysis is preferred
Experience in a manufacturing environment is a plus

Education

A bachelor’s degree is required.

Qualified Candidates are encouraged to send a confidential resume/inquiry to [Click Here to Email Your Resumé]

Requirements (See Job Descripton)

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