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Trader | Treasury Risk Management

Newly created position, in growing, global business. Will suit Mandarin speaker w/ exposure to treasury risk management.

  • Newly created role in growing business
  • Treasury Risk & Balance Sheet Management
  • Mandarin Speaker
 
Few opportunities of this nature exist in New Zealand; working in a globally established business, managing NZD and Rate risk exposures, alongside a well respected and senior team.
 
The role will sit with the New Zealand Treasury & Risk Management team, and partner the local GM and Treasury Manager.  With Head Office located offshore, you will be interacting and communicating heavily with other affiliates and the central treasury function outside of New Zealand.
 
The role will see you managing FX and Rate risk on behalf of the local entity, including execution of hedging strategies, trading and cash management.  Monitoring of emerging regulatory issues and implementation of these will also be form part of your mandate.
 
It is expected you will demonstrate prior experience in front office risk management (trading of FX & Rates) and strong product knowledge of NZD linked derivative products.  It is ideal that you have an understanding of balance sheet management and show an appreciation of market regulation.  You will be a fluent speaker of Mandarin. 
 
Please contact Alexander Hyndman on +64 9 358 0888 with enquiries, or follow the below link to apply. Ref:AH6511

 
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Job Summary

Type:
Permanent / Full Time
Location:
Auckland
Profession:
Banking & Finance
Role:
Treasury and/or Risk Specialist
Reference:
AH6511
Salary:
$100,000-$110,000
Date Listed:
23-Jan-15