To explore all domestic treasury avenues for improving the banks profitability and expertise in all matters related to the funding of the banks positions, meeting reserving requirements and the money market in general, including the trading of treasury bills.
QUALIFICATIONS
First degree
Experience
An excellent working knowledge of domestic and foreign money markets, and an intermediate understanding of other treasury products
A good understanding of macroeconomics and current economic trends
A good appreciation and knowledge of Risk Management, covering Operational Risk, Market Risk, Counterparty Risk and Credit Risk
Treasury and Banking background.
Minimum of three (3) years experience in domestic markets plus trading experience