All Posts tagged Treasury

Head of Treasury Finance, Six Figure Package – Northern Home Counties / Midla, UK

As a leading provider of Financial Services our client has an unparalleled reputation both from a customer perspective and as an employer of choice. Underpinning their success is a highly commercial operation that is consistently changing and striving to improve their performance still further. Due to an internal move they are looking to recruit a Head of Treasury Finance to deliver the …

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Head, Treasury & Global Markets – Tax Free Compensation, Up to US$ 2 Million- Tax Free – UAE

Reporting to the Chief Executive Officer of the Bank, lead and manage Global Markets business for a leading Bank with circa US$ 100 B in assets, successful track record and ambitious growth agenda. This is a senior management position and requires strong leadership skills and around 20 years of relevant work experience in a leading global bank.

Reports to CEO
*Develop clear and …

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Treasury Business Analyst, Competitive Salary Package – Abu Dhabi, UAE

Our client is a major commercial bank in the region and they are currently seeking a Treasury Business Analyst to join their expanding team. You will be responsible for establishing business requirements for the future business products and operations through collaboration with the Treasury trading and trade processing areas within the bank. The position will provide first level support on …

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Treasury Finance Senior Manager, £80k – £120k + Excellent benefits – City of London, UK

The CompanyA major, City based, International Investment House, are building on their strong financial performance over the past 2 years and are looking to develop a highly functioning Finance Department, with the Treasury Finance Senior Manager as one of the key hires within the senior management team. The RoleThis role requires a qualified accountant, with significant …

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Interim Head of Treasury – Retail Banking, £800-1000/ day – NW/ London, UK

Six month assignment for a qualified Treasurer with a track record in Retail Banking (mortgage, savings etc) The role reports to the Group Treasurer and will be responsible for running all aspects of the Treasury function (10 staff).

Will be responsible for ensuring optimal ALM, liquidity and funding solutions are in place funds as well as ensuring all regulatory initiatives are met. …

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Manager of Finance & Treasury, GBP Circa 50,000 Per Annum – London, UK

Our client is one of the leading UAE commercial and retail banks; their representative office in London has a platform based around areas of corporate and investment banking activities. This role will link to all areas of management of the accounting system and reporting requirements within this branch and representative operation; whilst also delivering financial planning and MIS …

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Senior Treasury Manager – ALM Risk, £ Salary to attract the best – North, UK

Are you a treasury risk specialist? Do you thrive working in an environment where you are constantly challenged and ultimately responsible for being at the forefront of the financial services sector. My client a household name is in the process of recruiting only the highest calibre of individuals into their ALM and liquidity team. Due to this rapid expansion there are a number of positions …

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Senior Treasury Derivatives Analyst

Apply for Job Here

FEDERAL HOME LOAN BANK OF SEATTLE

If you’re interested in making a difference at work AND working to make a difference, think about joining the Federal Home Loan Bank of Seattle.

The Seattle Bank makes our communities better places to work and live by providing funding products to its nearly 400 financial institution members — and by contributing 10% of its annual net profits to affordable housing and community economic development.

A $50 billion institution, the Seattle Bank is one of 12 Federal Home Loan Banks located across the US.

Senior Treasury Derivatives Analyst

This position enhances the Bank’s profitability and risk management by providing technical expertise and analytic support by:

· Supporting traders by evaluating trade opportunities and identifying potential risks and benefits. Makes recommendations on transaction structures to maximize economic benefits while minimizing related risks. Assists with the development of presentations and proposals for the Treasury Strategy Group and ALCO committees.
· Supporting the Director of Finance and the CFO in evaluating Bank wide interest rate risk and structuring responses. Synthesizes various model results and overlays transaction strategy analytics to generate actionable trade ideas for balance sheet management and income enhancement.
· Supporting the acquisition of low cost structured funding by performing economic and FAS 133 related analytics for the Treasury Department.
· Developing and validates the selection of parameters and methodologies used for trade and portfolio modeling, including Term structure models; Mortgage Prepayment Models; OAS; Portfolio Attribution; and Option Pricing.
· Performing market research and provides written recommendations to support portfolio management decisions including the development of pricing tools and derivative analytics.
· Developing and validates risk / return management models and the specific inputs related to trades under consideration. Develops and recommends stress scenarios and appropriate risk measures.
· Assisting in the quantification of credit and operational risk for the trading desk. Assists in the development of appropriate guidelines, policies and procedures for the Treasury department.
· Assisting with the development of new products/enhancements with embedded derivatives.
· Providing support to Asset/Liability, Treasury and Credit to achieve strategic objectives of the Bank.

Desired Qualifications

· Bachelor’s Degree with an emphasis in finance, mathematics, statistics or a similar quantitative discipline. Advanced degree in a related field (MBA, CFA) strongly preferred.
· Five plus of experience in financial services modeling complex financial transactions and making trade recommendations.
· Experience with fixed income securities and interest rate derivatives. In-depth understanding of fixed income mathematics (derivatives models, probability theory, Monte Carlo Simulations, OAS, income simulation) with a proven track record of creating accurate models and results.
· Knowledge and understanding of Yield Curve models; mortgage prepayment models; OAS; Portfolio Attribution and/or Option Pricing is required. Direct experience with PolyPaths, Derivative Solutions, and/or QRM is highly desirable.
· Technical expertise modeling derivatives and the related economic and FAS 133 implications
· Superior analytical and communication skills are required. Position requires direct interaction with traders, strategists, senior managers and risk managers.
· Strong organizational and time management skills with the ability to work independently with minimal supervision. Ability to function effectively under tight time deadlines.
· Highly proficient with Excel, Access, Bloomberg, and Trading Analytics software such as PolyPaths, Derivative Solutions, or QRM. Programming skills in C++, Java, VBA is a plus.

We offer a rich compensation package, including competitive wages, comprehensive health benefits for employee, three weeks vacation, 401K, and a business casual environment as well as other benefits. Qualified candidates should direct resume and cover letter to:

Recruiter1, Federal Home Loan Bank of Seattle
1501 Fourth Avenue Suite 1800
Seattle, WA, 98101-1693.

Or Email: [Click Here to Email Your Resumé].

No phone calls, please. The Federal Home Loan Bank values diversity in the workforce and is an equal opportunity employer. Women and Minorities are encouraged to apply.

Requirements Bachelor’s Degree with an emphasis in finance, mathematics, statistics or a similar quantitative discipline. Advanced degree in a related field (MBA, CFA) strongly preferred.

· Five plus of experience in financial services modeling complex financial transactions and making trade recommendations.
· Experience with fixed income securities and interest rate derivatives. In-depth understanding of fixed income mathematics (derivatives models, probability theory, Monte Carlo Simulations, OAS, income simulation) with a proven track record of creating accurate models and results.
· Knowledge and understanding of Yield Curve models; mortgage prepayment models; OAS; Portfolio Attribution and/or Option Pricing is required. Direct experience with PolyPaths, Derivative Solutions, and/or QRM is highly desirable.
· Technical expertise modeling derivatives and the related economic and FAS 133 implications
· Superior analytical and communication skills are required. Position requires direct interaction with traders, strategists, senior managers and risk managers.
· Strong organizational and time management skills with the ability to work independently with minimal supervision. Ability to function effectively under tight time deadlines.
· Highly proficient with Excel, Access, Bloomberg, and Trading Analytics software such as PolyPaths, Derivative Solutions, or QRM. Programming skills in C++, Java, VBA is a plus.

Apply for Job Here

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Lawyer specialised in legal aspects of Capital Markets, Derivatives and Treasury, Very attractive rates – Luxembourg

The EIB is seeking to recruit for its General Secretariat and Legal Affairs – Legal Department, Corporate – Financial Issues Division at its headquarters in Luxembourg a:

Lawyer specialised in legal aspects of Capital Markets, Derivatives and Treasury Operations

Appointment to the post is for a fixed period of 3 years

The lawyer will assist the Head of Division, together with other …

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