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Back to results Corporate Treasury Specialist - Foreign Exchange

Empirical Search
Doha, Qatar
Closing date
Apr 24, 2024

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Job Function
Industry Sector
Finance - General
Employment Type
Full Time
Role Description
  • Be the subject matter expert in the FX space. Always looking to improve your knowledge through active research and participation in global forums. In turn being able to impart this knowledge across the treasury team / key stakeholders to ensure optimal decision making.
  • Execute complex treasury transactions by taking liquidity, funding, and interest rate positions in line with the risk framework of the Fund.
  • You will provide timely and cost effective business funding and minimise interest rate and liquidity risk within the organisation.
  • You will also recommend wider trading positions for the treasury trading business area based on prevailing market conditions.
  • Monitor, measure and evaluate processes and procedures, and initiate and advise on innovations, changes, and improvements to ensure optimisation and streamlining of processes and procedures that contribute to effective Treasury processes.
  • Core objectives are to provide Positioning based on market intelligence, Competitive pricing and marketing practices, Smooth flow of day-to-day operations, and Compliance with international standards and company policies.

Role Requirements
  • Significant experience gained working in the Corporate Treasury of a large commercial institution with global considerations, with a particular need for foreign exchange product exposure.
  • FX and/or Derivatives Structuring experience from a sell side institution preferable, especially if you haven't worked in a corporate treasury setup before or most recently.
  • Bachelor's degree in Economics, Finance, or equivalent from a reputable and recognised university
  • A relevant professional qualification such as MBA/CFA/ACI preferable
  • Enhanced technical skills in areas such as Corporate governance, Data collection and analysis, and Reporting

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