To assume responsibility for Treasury Sales Business in the UAE i.e. marketing and delivery of all treasury products, profitability, business growth, external interface, communication with other business units.
To conduct Bank’s business within the limits/parameters fixed by the Senior Management.
To maintain a high standard of customer service in order to increase Bank’s market shares with the existing customers and enlarging the customer base.
To actively market in FX Spot, FX promise and derivatives to customers and enhance the business turnover and profitability
To maintain a professional service and high profile so as to enhance the reputation of the Bank in the Treasury market.
To keep abreast of latest trends in the foreign exchange markets and advice customers.
To manage the FX position of the bank within the guidelines set by the Senior Management
Responsible for generating revenue for the Bank through optimum utilization of Bank’s franchise business and through new products initiatives
To project the image of the Bank as a professional institution for its Treasury services among all the clients of the bank
To increase overall income out of Consumer, Corporate, Contracting & Real Estate and Institutional business and contribute to the growth of bank’s results
To build new relations for treasury Services among all the segment of the bank customers in UAE
Successful candidate should be a University graduate or MBA holder with a min experience of 4 - 5 years in similar role.
Sound working knowledge of Treasury business, products and procedures; understanding of general banking in other areas.
Must be a team player, possessing good communication and motivating skills
Extensive Knowledge of Foreign Exchange and Money Markets
Ideal candidate should possess excellent analytical and personal skills