SMBC is a major international bank with a leading position in the Global Markets and Treasury, Corporate, Project Finance, Financial Institutions, and Sponsored / Leverage Finance market. Working in conjunction with the Executive Director | Head of Global Market Sales, this position is responsible for the execution of foreign exchange and derivative transactions of SMBC’s customers. In addition, this position will enhance relationships with all stakeholders by ensuring high-level customer service and supporting the promotion of treasury products.
This position will be responsible for the following:
- Ensure that risks and limits are managed in line with SMBC guidelines and policies.
- Ensure that transactions are completed in a professional manner and in-line with SMBC guidelines, policies, and required timelines.
- Generate system registration to maintain market & credit risks.
- Report directly and immediately to the Head of Treasury Sales for any problems, irregularities or substantial loss that may arise.
- Price quoting for customers on Treasury Sales products.
- Promote financial products to customers and maximize business opportunities.
- Support other team members and cover his/her duties during periods of absence.
- Full compliance with The FX Global Code.
- Maintain necessary accreditation and undertake training as required for the role.
To succeed in this role you will have:
- Tertiary qualifications majoring in Banking & Finance.
- Strong financial and analytical skills.
- Strong time management and organisational skills.
- Accuracy and attention to detail.
- Strong interpersonal and influencing skills.
- Strong written and verbal skill.
- AFMA accreditation.