Treasury Trader: ALM, FX & Rates
Listed on 2026-09-29
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Finance & Banking
Risk Manager/Analyst, Banking & Finance, Financial Analyst, Corporate Finance
Jersey Evening Post seeks a Treasury Dealer to support ALM activities with a focus on liquidity and interest rate risk. The role involves managing FX risk, generating rates and pricing for liability products, and collaborating with teams to meet cash and liquidity targets.
The position requires strong numeracy, regulatory awareness, and experience in derivative trading and markets analysis. You will work with Central Treasury and other stakeholders to optimize profitability and support client
This is an excellent opportunity to take on the Treasury Trader: ALM, FX & Rates role at boards.
The following role is for a Treasury Trader: ALM, FX & Rates with boards.
Our group is growing, and we are hiring a Treasury Trader: ALM, FX & Rates in United Kingdom.
This role is for the Treasury Trader: ALM, FX & Rates role at boards.
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