General Information
參考#
612345678901012540
國家
土耳其
城市
İstanbul
Contract type
永久
Professional Family
F07 - FINANCIAL AND TECHNICAL EXPERTISE
Required experience in the field
我擁有扎實的專業經驗,我正在尋找一個可以進一步發展個人職業生涯,並繼續提昇技能的職位。
工作模式
From office
描述
Main Responsibilities:
- Manage FX and Interest Rates Risks of FX Options positions across domestic and international markets, ensuring alignment with both TEB and BNP Paribas risk frameworks
- Provide competitive, fair and consistent pricing to Global Markets Clients worldwide across a broad range of derivative instruments
- Drive revenue revenue generation and deliver on yearly budget targets, contributing to the group-wide performance objectives
- Monitor global market developments and events; evaluate risks and opportunities for existing positions and trading strategies
- Build and maintain strong relationships with internal and external counterparties across global markets
- Work closely with Sales Teams to enhance client franchise
- Contribute to the continous improvement of group-wide process and systems
- Comply with regulatory, contractual and internal frameworks across all relevant jurisdictions
Requirements:
- Bachelor’s degree in Engineering, Mathematics, Economics or related disciplines
- Preferably with 2-6 years’ experience in Trading , Treasury sales, Financial Markets or related fields
- Must have Derivative Instruments Licence and Capital Market Activities Advanced Level Licence
- Sound knowledge of domestic and international financial markets and various financial products
- Analytical, strategic minded, proactive, well organized, and result oriented with strong planning capabilities
- Customer oriented and solution driven approach with a good balance of quantitative, commercial and presentation skills
- Developed communication and diplomacy skills in order to guide, influence, convince related stakeholders
- Good command of MS Excel and VBA
- Fluent in English
- Comfortable with working both independently and across functions and managing multiple priorities