KEY RESPONSIBILITIES
Support the development and execution of strategies for all E.A FX trading activity in line with overall treasury business strategy.
Proactively manage proprietary trading activities in UGX, TZS, BIF, RWF, CDF, SSP currencies, structured products, Swaps, Forwards among other treasury products.
Retain and grow existing offshore, local, and regional counterparts for growth in traded volumes in EA currencies.
Support subsidiaries by providing support to cover their FX needs through proactive collaborations.
Thorough understanding of local and global market regulations applicable to foreign exchange across the EA markets.
Support cross- selling initiatives through optimal pricing and appropriate spreads, give ideas on existing and new products to existing and new clients to support growth in FX business.
Develop and maintain strategic partnerships with internal and external stakeholders and maintain good liaison with regulators on market development issues.
Provide insights and ideas to regional FX trading initiatives and work with the wider group trading team to ensure set targets are achieved.
Update internal teams and clients on industry, global and local macro-economic happenings, regulatory changes to ensure that opportunities are optimized in the EA market.
Ensure compliance with Bank’s policies, procedures, and all regulatory requirements.
MINIMUM POSITION QUALIFICATION REQUIREMENTS Academic & Professional
Education:
Bachelor’s Degree: Business related/ Finance, Economics, or any other Field RQ
Master’s Degree: Finance or a Business-Related Field AA
Professional Qualifications: CPA, ACCA, CFA, ACI Dealing Certificate AA