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Execute foreign exchange transactions on behalf of clients in the local & international currency markets.
Manage foreign exchange positions to achieve optimal returns while ensuring compliance with established limits and regulatory requirements.
Maintain and grow relationships in accordance with the objectives of the Division’s Business Plan
Execute liquidity management and funding strategies to ensure the Bank has liquidity or access to liquidity under normal and stressed conditions, in order to meet its commercial and prudential obligations.
Ensure all activities are conducted in accordance with prevailing Risk and Investment Management Policies and Standards of Best Practices
Ensure adequate, accurate and timely reports are provided in full satisfaction of management and regulatory requirements.
Qualifications & Experience:
Bachelor’s Degree in Business Management, Finance, Banking, Economics, Accounting or any other related discipline.
A minimum of four (4) years’ experience in bond, money market, foreign exchange and portfolio management.
Treasury Management Specialist - NCB Merchant Bank (TT) Limited
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Treasury Management Specialist - NCB Merchant Bank (TT) Limited
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