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General Description:
Responsible for managing the banks foreign exchange short term (less than a year) forward positions, ensuring optimal pricing, execution and risk management of forward contracts.
Provides liquidity, manages hedging exposures and supports client-driven trading activities in the Forward FX market
Educational Requirements:
Bachelors Degree in Economics, Finance, Business or related field
Experience:
Preferably 2 years of considerable work experience in Treasury, FX Trading
Preferably Certified Treasury Professional (TCP graduate)
Work Setup: On-site
Shift: Day-shift
Location: Makati City
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