- Managing the operations and settlement of FX, Money Market and Derivatives transactions
- Responsible for cash management of nostro accounts
- Administering internal control of treasury operations procedures, ensuring effectiveness of internal control in mitigating operational risks
- Handling regulatory reporting
- Attending to and addressing internal and external stakeholders’ queries and inspections (i.e. Head Office/Auditors)
- Driving and coordinating ad hoc projects and deliverables that relates to operations
- Supervising and providing guidance to juniors
- A Degree in Business/ Finance/ Economics or similar discipline with at least 8 years of relevant hands-on experience in treasury products, such as FX, Money Market and Derivatives
- At least 3-5 years’ experience in a supervisory position
- Possess good Swift payment knowledge
- Possess strong leadership qualities
- Possess good IT knowledge, also in Microsoft Office applications including MS Access
- Able to multi-task and work in a challenging environment
- Strong communication skills and able to deal with the different stakeholders
- Attention to details