Manager, Treasury & Markets
- Perform daily FX trades to generate profit and maximize market share as per yearly targets while ensuring risk management and compliance
- Manage and monitor daily trading portfolio and position to ensure no financial loss and to provide business escalation on a timely manner
- Work with Sales and RM to identify new prospects and client opportunities
- Understand wider business and economic to provide FX market color and forecasting to Sales and RM
- Maintain good relationships with the existing T&M counterparties and continue increasing number of counterparties to diversify and maintain market competition
- Comply with all internal requirements and regulations, including but not limited to NOP limits, trading and trigger limits, FECL/GBIL and the guidelines as outlined in the T&M’s Code of Conduct, T&M P&P and respective desk mandate where it is applicable
- Apply EPICC in day-to-day communication with CIMB colleagues and other business partners
- Introduce new business activities by replicating the best practices and risk management framework from the HQ and other CIMB regions into CIMB Cambodia
- Prepare and present financial performance and business updates or action plans to management on monthly basis or as when it requires
- Other assignments.
Knowledge Skills and Experience:
- At least bachelor’s degree in financial related fields.
- 3-year experience in Treasury field or holding outperforming background.
- English communications and presentation skill.
- Ability in articulating work under pressure or high expectations.
- Be humble, great Teammate and emotionally disciplined.
- Entrepreneurial & focused.
- Computer proficiency in Ms. Excel and Power Point.
- We encourage candidates from all backgrounds to apply.