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To support and co-operate within FX Team and other business units on marketing trips to existing and new clients.
Daily marketing and sales of corporate deposits together with corporate FX instruments. Corporate dealings and advisory within guidelines, policies, and limits.
Liaising and networking with customers, colleagues, and business partners.
To manage client relationships and act as the point of contact between client and bank regarding treasury FX sales products.
Develop marketing campaigns to promote treasury FX sales products and services.
Comply and abide by internal limits and processes as stipulated in Treasury Manual, Standard Operating Procedure, and other limits or guidelines imposed by BOD, ALCO, and Head of Treasury.
- Degree in Business Administration, Finance, Accounting, Economics, related field, or professional qualification such as CIMA, ACCA, CFA, CPA, CFP.
- At least 8 years of relevant experience in the financial industry.
- Extensive knowledge of FX, money market instruments, and sound understanding of derivative products.
- Possesses high integrity and strong communication, analytical, marketing, and negotiation skills.
- Ability to work, make decisions, and resolve issues quickly and accurately under pressure, and be an effective communicator.
- To fulfill CPE and CPD requirements.