Ensure that all available trades are efficiently closed out within the agreed trade period
Proactively conduct enhanced research to propose new revenue opportunities to the management team to embark upon
Ensure that the Company never incurs a loss on any trade carried out by the Employee
Shall proactively seek out progressive measures to enhance trade activities
Responsible for incessantly conducting investment research and market analysis to advise the management team on potential opportunities and challenges
Liaise with the other departments to ensure that the Company is well-positioned to take advantage of potential trading opportunities in other available markets
Liaise with the other departments to onboard the Company on profitable trading platforms in order to position the Company for the upside of available trades across African currencies and G3 currencies
Be flexible to take up new additional responsibilities as directed by your Line Manager and management team
Requirements
Minimum 4 years experience in a similar role
Excellent knowledge of Treasury Operations, Currency Trading Operations, Financial Analysis, Foreign Banking Operations, and Risks in Foreign Exchange Transactions
Experience in international cash and FX exposure management and product
Strong analytical skills and financial / treasury systems literate
Proactive approach to task management and self-development
Knowledge of banking relationships and covenants
Ability to work autonomously and be part of the broader team
Appropriate handling of sensitive information
Excellent verbal and communication skills
Excellent interpersonal, negotiation, and conflict-resolution skills
Excellent organization skills and attention to detail