Job Description The Treasury Associate will be responsible for supporting financial analysis, liquidity management, interest rate risk assessment, and investment decision-making processes. This role involves working closely with senior management to develop treasury strategies, optimize cash
Position title: FX and Fixed Income Portfolio Manager Experience and qualifications: Bachelor’s degree in Economics, Finance or related field Background in foreign exchange (FX) trading and hedging, with working knowledge of fixed income Gained experience in treasury,
Key Responsibilities Execute and manage interbank trading activities across FX, money market, and derivatives products in accordance with approved trading mandates and risk limits. Actively manage the Banks treasury positions, liquidity requirements, and funding activities. Trade