Find Your Dream Job

Cover
company logo

Senior Treasury Dealer, Guernsey

icon
Job Type

Permanent

icon
Salary Range

Unspecified

Description

Join this leading international bank and play a key role in the management of its Treasury operations in the Channel Islands. This is an exciting opportunity for an experienced financial markets professional to work within an active trading environment across Repo, Money Market, and Foreign Exchange portfolios.

Duties for this role include, but are not limited to:
• Managing the daily operation of Repo, Money Market, and Foreign Exchange books.
• Monitoring and optimising liquidity positions to ensure alignment with internal and regulatory requirements.
• Executing trades and maintaining exposure within interest rate risk limits.
• Quoting and booking spot and forward FX rates and managing cover through the interbank market.
• Publishing and maintaining the Bank’s deposit rate structures for client-facing teams.
• Strengthening interbank and client counterparty relationships across all traded products.
• Offering informed views on global economic developments to clients and internal stakeholders.
• Supporting business development by promoting the Bank’s Treasury offering.
• Assisting in the ongoing review and update of procedural documentation.

The Ideal Candidate
The successful candidate will have at least five years’ experience in a market-facing Treasury role, with proven ability in Repo, Securities Finance, inter-bank Money Markets, and Foreign Exchange. An ACI Diploma or equivalent is preferred. The role requires a calm, analytical individual with strong numerical and interpersonal skills, capable of operating under pressure while making informed, high-value decisions. Knowledge of Central Counterparty Clearing would be an advantage.

Contact Details
For more information, please email: admin@blinkrecruitment.gg
or call: +44 1481 723221
Please visit our website www.blinkrecruitment.gg for our latest vacancies.