Manager, Corporate Treasury at SBM Bank
SBM Bank
Job Purpose
The overall job purpose is to ensure management of the corporate dealing and sales function within the department, as well as coordinate branch sales activities with a view of ensuring that the corporate dealing budget is delivered.
Key Responsibilities
Strategic planning for marketing FX products
Execution of the bank's FX strategy through branches
Coordination of corporate dealer meetings with clients
Handling day-to-day treasury related queries from branches and clients
Managing and supervising corporate dealers to ensure they are proactive in executing their call reports
Deputizing the Head of Treasury and assisting in managing, coaching, and developing a high-performance team to meet set deliverables
Key Relationships
Direct Reporting Line
General Manager Corporate Treasury
Customers of This Position
All external FX customers
All branches
Knowledge, Skills and Experience Required
Business graduate from an accredited university
Proven experience of at least five years in a senior position in a Forex Department in a reputable bank
Professional qualifications in ACCA, CPA, CFA, or ACI dealing certificate
Proficiency in Microsoft Office Suite
MBA in Finance or Strategic Management is an added advantage
Competencies Required
Dynamic, analytical, and self-driven individual with the ability to work under pressure
Passion for performance, teamwork, and achievement in a competitive and dynamic environment
Strong communication and interpersonal skills
Thorough understanding of Forex procedures and practices
Ability to interact with all levels of management and staff
Excellent leadership, organizational, and planning skills
Problem Solving
Ability to identify customer needs or problems and offer effective solutions within the shortest time possible
Supports arbitration of branch Forex related issues with respective Branch Managers and ABMs
Accountability
Delegated authority
Management of the dealing room