“PASHA Bank” OJSC is seeking a Trader.
PURPOSE OF THE JOB:
Trader is responsible for managing Bank’s currency position and short-term liquidity executing FX & MM & FI deals through proper profit/loss cost analysis within predetermined trading limit.
MAIN ROLES & RESPONSIBILITIES:
• Appropriate execution of Bank currency position, FX, MM and FI related to Bank’s cash management function.
• Proper sweeping of funds within nostro accounts & maintain predetermined balances.
• Investigating local and global FX & Money market opportunities in order to execute the most favorable transactions for the bank either as a sell side or principle.
• Execute and negotiate foreign exchange/precious metals transactions (spots, forwards, swaps and related derivatives)
• Execute and negotiate banknotes trading with local and foreign Fis
• Execute and negotiate money market transactions (deposit/loans/overnights).
• Execute and negotiate fixed income transactions (securities).
• Attend customer meetings together with Treasury Division Head.
• Dealing with all customer requests (internal or external) accurately and within agreed deadlines.
• Monitor necessary reports & assure the accuracy of the entered information.
• Determine/offer preferential rates for corporate customers & maintain relationship with them.
SKILLS:
• Bachelor Degree in Finance, Economics, Banking or relevant field
• Related work background experience 3 to 5 years
• Fluency in Azerbaijani is a must
• Advanced in English
• Professional knowledge of FX, Derivatives, FX Forward, SWAP, NDFs, MM, Fixed Income
HOW TO APPLY:
interested candidates are required to submit:
CV to [email protected];
Put “Trader” in the subject line;
CVs should be sent by the 12 April, 2018.
Attention: The candidates will go through initial CV screening review. Only shortlisted candidates will be contacted.