Client is a leading Payment gateway institution specializing in FX Trade Gold. We are committed to excellence and innovation in the financial sector and we are currently seeking a knowledgeable and motivated Treasury Officer to join our dynamic team.
Position Overview: The Treasury Officer will be responsible for managing and executing foreign exchange (FX) gold and foreign currency transactions. This role requires a deep understanding of market trends trading strategies and risk management. The ideal candidate will have a strong analytical background and be able to work in a fastpaced environment.
Key Responsibilities:
- FX and Gold Trading: Execute and manage trades in FX and gold markets ensuring optimal pricing and risk management.
- Market Analysis: Monitor global currency and commodity markets to identify trading opportunities and assess market trends.
- Transaction Management: Oversee the buying selling and trading of foreign currencies and commodities ensuring compliance with internal policies and regulatory requirements.
- Risk Assessment: Analyze and mitigate risks associated with currency fluctuations and market volatility.
- Reporting: Prepare and present reports on trading activities market conditions and performance metrics to senior management.
- Collaboration: Work closely with other departments (e.g. risk management finance) to align strategies and optimize treasury operations.
- Compliance: Ensure adherence to relevant regulations and internal controls related to trading and treasury operations.
Qualifications:
- Bachelors degree in Finance Economics Business or a related field; advanced degree or professional certification (e.g. CFA CTP) preferred.
- Minimum 3 of experience in treasury operations FX trading or related fields.
- Strong understanding of foreign exchange markets trading platforms and commodity trading.
- Proficient in financial modeling and analysis with advanced Excel skills; familiarity with treasury management systems is a plus.
Remote Work :
No