Responsibilities
The Treasury Officer will be responsible for managing all aspects of the company's treasury activities.
Key responsibilities include:
- Ensuring daily liquidity across all currencies to meet client demands.
- Managing FX risk by hedging currency exposure from client trades.
- Forecasting cash flows to anticipate funding needs.
- Executing settlements with banks and liquidity providers.
- Safeguarding client funds in segregated accounts in accordance with regulatory rules.
- Providing accurate pricing to clients based on live FX costs.
- Managing nostro accounts and daily back-office operations.
Qualifications
Candidates should have the following qualifications and experience: