ABSA seeks a Head of FX Trading to lead the Foreign Exchange Trading Activities, delivering sustainable revenue growth while maintaining a strong risk and control environment. The role focuses on managing the FX trading book, market risk, liquidity...
risk or opportunities management.
• Prepare data for the financial auditing and risk analysis ensuring a culture of compliance.
• Prepare a complete reporting set analyzing variances between planned and actual on sales, contribution margins, structure...
ABSA seeks a Head of FX Trading to lead the Foreign Exchange Trading Activities, delivering sustainable revenue growth while maintaining a strong risk and control environment. The role focuses on managing the FX trading book, market risk, liquidity...
e reporting con analisi degli scostamenti;
• Supportare il General Manager e il Corporate nelle decisioni strategiche attraverso insight finanziari;
• Supervisionare gli adempimenti civilistici e fiscali e la corretta gestione documentale;
• Coordinare...
ABSA seeks a Head of FX Trading to lead the Foreign Exchange Trading Activities, delivering sustainable revenue growth while maintaining a strong risk and control environment. The role focuses on managing the FX trading book, market risk, liquidity...
e capitale circolante; Guidare i processi di budgeting, forecasting e reporting con analisi degli scostamenti; Supportare il General Manager e il Corporate nelle decisioni strategiche attraverso insight finanziari; Supervisionare gli adempimenti...
environment. The role is accountable for managing the FX trading Book, market risk, liquidity, pricing, execution, regulatory, compliance and developing trading strategies aligned with the bank's overall Global Markets strategy.
The incumbent is expected to...
environment. The role is accountable for managing the FX trading Book, market risk, liquidity, pricing, execution, regulatory, compliance and developing trading strategies aligned with the bank's overall Global Markets strategy.
The incumbent is expected to...
environment. The role is accountable for managing the FX trading Book, market risk, liquidity, pricing, execution, regulatory, compliance and developing trading strategies aligned with the bank's overall Global Markets strategy.
The incumbent is expected to...
le attività di tesoreria, gestione della liquidità e capitale circolante;
• Guidare i processi di budgeting, forecasting e reporting con analisi degli scostamenti;
• Supportare il General Manager e il Corporate nelle decisioni strategiche attraverso insight...
le attività di tesoreria, gestione della liquidità e capitale circolante;
• Guidare i processi di budgeting, forecasting e reporting con analisi degli scostamenti;
• Supportare il General Manager e il Corporate nelle decisioni strategiche attraverso insight...
financial reporting, compliance, cost optimization, tax planning, risk management, treasury operations, and multinational financial coordination between local operations and global headquarters.
This position requires a highly experienced finance executive...
le attività di tesoreria, gestione della liquidità e capitale circolante;
• Guidare i processi di budgeting, forecasting e reporting con analisi degli scostamenti;
• Supportare il General Manager e il Corporate nelle decisioni strategiche attraverso insight...
financial reporting, compliance, cost optimization, tax planning, risk management, treasury operations, and multinational financial coordination between local operations and global headquarters.
This position requires a highly experienced finance executive...
financial reporting, compliance, cost optimization, tax planning, risk management, treasury operations, and multinational financial coordination between local operations and global headquarters.
This position requires a highly experienced finance executive...
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