This role is for a Trade Bank in Amsterdam.

The role entails managing an existing portfolio and extending it, as well as working with the Originators and Structurers on new structured deals such as hedging solutions covering FX, Interest Rates & Commodities. It is a very broad product offering.

You would be part of the Treasury department and part of a team of 4 active on the sales side. You will also work beside with the Treasury Liquidity team (4 people – hedging etc) and 3 risk professionals.

o Typically structuring/products/solutions offered include: FX, Shares, IRS, Bonds, CDS, Vanilla Options & Futures Repo, Reverse Repo, Options, Futures, IRS, CDS, CCS.
o Any MiFID II, EMIR. MiFIR knowledge would be a plus.
o Any experience dealing with treasury execution teams would be a plus
o Area of business covers EMEA/CEE/CIS
o There will be (some) client meetings involved also EU wide as you will be maintaining relations with trading counterparties and major customers. There is an established portfolio of clients.

Should you be interested can you send through your updated MS word CV and we will call you immediately