Détails de l'annonce
Référence:
199197
Publiée le:
20 avril 2024
Type de poste:
CDI
Lieu de travail:
Tunis, Tunisie
Expérience:
Entre 5 et 10 ans
Étude:
Bac + 5
Disponibilité:
Plein temps
Langues:
Arabe , Français , Anglais
Entreprise:
BANK ABC
Secteur: banque / finance / assurances
Taille: Entre 200 et 500 employés

Bank ABC Tunisie est une Banque Internationale filiale du Groupe Bank ABC fondé en 1980 à Bahreïn, Leader sur son segment de marché. Le Groupe Bank ABC est présent dans la région MENA, en Europe, en Asie, aux Etats-Unis et au Brésil et fournit des produits financiers et des services innovants exhaustifs comprenant le financement des entreprises, le financement des opérations de commerce international, le financement de projets, les financements structurés, la levée de fonds sur les marchés de capitaux, les syndications bancaires, les produits de trésorerie et la finance islamique. Notre Groupepropose également des services bancaires aux particuliers en Tunisie, Jordanie, Egypte et Algérie. Bank ABC est présente en Tunsie sous un double statut : une entité Offshore opérationnelle depuis l’an 1993 et une Banque commerciale résidente opérationnelle depuis l’an 2000. «Etre une Banque Internationale Leader dans la Région MENA» est notre Vision Stratégique. Les 3 C’s « Client au centre de notre attention, Collaboration et Cohérence» sont nos Valeurs Universelles.

Description de l'annonce:

Bank ABC is reinforcing its Treasury Department with the recruitment of a Senior FX & Treasury Trader.

Within this role, the Senior FX & Treasury Trader will be responsible for building and maintaining relationship with clients, promoting financial products, and achieving sales targets. They are responsible also for conducting trades on the interbank market in various financial instruments.

1.  Responsibilities & Accountabilities

  • Identify and prospect potential clients within financial market sector.
  • Present and promote a range of financial products and services to meet clients’ needs.
  • Build and maintain strong client relationship through effective communication and regular follow-ups.
  • Achieve and exceed sales target while adhering to compliance and regulatory standards.
  • Acting as a counterparty on the interbank market and conduct trade with full respect of internal and regulatory limits.
  • Stay informed about market trends, economic indicators, and financial news to provide clients with relevant insights.
  • Continuous monitoring of market conditions, economic indicators, and news to make decisions about when and how to execute trades.
  • Making quick and informed decisions under pressure considering markets dynamics
  • Using of technical and fundamental analysis to assess market trends and managing positions.
  • Monitoring and evaluating the performance of trades, analyzing the effectiveness of strategies and making adjustments as needed.
  • Utilizing of specified platforms (Refinitiv, Bloomberg and advanced systems for real-time market data).
  • Adhering to regulatory requirements and compliance standards.

2.  Job Requirements

Kowledge:

  • Mastering Foreign exchange market (spot, forward, swaps ...) on both sales and interbank market.   
  • Money market standards and liquidity managing on the local and international market.
  • Strong understanding of financial products.
  • Foreign Exchange local regulation.
  • Proficient in using relevant software and tools for market analysis.

Education:

  • Bachelor’s degree in Finance, Master’s degree is a plus.
  • Any additional certification is a plus.

Experience:

  • 7 to 10 Years in Treasury Department/Dealing Room.

Personal Attributes:

  • Self-motivated.
  • Result oriented.
  • Team player.
  • Management capabilities