Currency Resume Samples

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LK
L Keebler
Lilla
Keebler
198 Gaylord Estate
Los Angeles
CA
+1 (555) 337 8092
198 Gaylord Estate
Los Angeles
CA
Phone
p +1 (555) 337 8092
Experience Experience
Detroit, MI
Foreign Currency Product Analyst
Detroit, MI
Wehner Group
Detroit, MI
Foreign Currency Product Analyst
  • Pricing Strategy, commercialization and marketing of Global Platforms with Regional oversight
  • Align IT Investment & Prioritization for Global Programs with Regional Oversight
  • Ensure compliance, operational risk controls in accordance with HSBC or regulatory standards and policies; and optimize relations with regulators by addressing any issues
  • GHQ executives and the Regional PCM organizations in Asia, North America, LATAM, Europe & Middle East specifically Region Execs, Product Management Execs, Sales Execs, Client Service Execs etc
  • PCM serves as a core provider of Cash Management services to the Group’s Global Banking and Commercial Banking customers. PCM operates in an environment with heavy competition, tightening regulations and increasing customer demands
  • The jobholder will ensure the fair treatment of our customers is at the heart of everything we do, both personally and as an organization
  • The major points of interaction will be
Houston, TX
Infrastructure Services Lead-operational Currency
Houston, TX
Dibbert-Dietrich
Houston, TX
Infrastructure Services Lead-operational Currency
  • Make an impact by getting things done, focusing on what matters, owning and delivering superior results for all stakeholders for short and long-term goals
  • Provide leadership during major incidents
  • Strong knowledge in network
  • Function as an internal subject matter expert responsible for tracking technical and business trends, assessing their impact and developing strategies for the delivery of your services
  • Co-ordinate with application support and out sourcing vendor to successfully plan/execute the implementation processes for version upgrades, software fixes, and preventative maintenance to minimize risk and service disruptions
  • Infrastructure advocate aligning operational roadmap delivery of minor version upgrades to infrastructure supported tools and platforms, operating system patching and software fixes with our outsourcing vendor
  • Build and maintain strong relationships with outsourcing partner and technical teams ensuring efficient services adhering to SLA’s and business expectations
present
Houston, TX
Capital Markets Group Foreign Currency Team Leader
Houston, TX
Schamberger and Sons
present
Houston, TX
Capital Markets Group Foreign Currency Team Leader
present
  • Manage and oversee both the Bank Management/Reconciliation Team
  • Perform daily quality control reviews and handle escalations and exceptions with cash management
  • Identify areas for improvement and enhance existing procedures
  • Will partner with Department VP in the development of error policies and procedures for FX and GC
  • Manage all project testing: BAU, Disaster Recovery, IRT, Client Service, REG E, OFAC and Wire Renovation
  • Partner with the Department’s VP on all projects pertaining to OFAC/AML, Money Movement, and various process improvement initiatives within the area
  • Become subject matter expert for cash management, wire handing, and the firm’s policies and procedures. Will also transfer knowledge to the team and create necessary updates to existing procedures
Education Education
Bachelor’s Degree in Management
Bachelor’s Degree in Management
Kean University
Bachelor’s Degree in Management
Skills Skills
  • Strong communication, leadership and collaboration skills, with ability to build consensus view
  • Attention to detail with ability to work to a high level of accuracy
  • Strong communicator with ability to interact with senior Business Unit counterparts
  • Strong sense of accountability and ownership
  • Ability to critically evaluate processes and come up with creative ideas that mitigate risk and minimize nonstandard approaches
  • Strong interpersonal skills and proactive
  • Excellent understanding of Morgan Stanley systems and Microsoft Office applications
  • Fast and proactive learner
  • Qualified accountant (or equivalent)
  • Thorough understanding of Morgan Stanley’s currency risk management and broader control framework
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14 Currency resume templates

1

Ib Market Risk Coverage Currency & Emerging Markets VP Resume Examples & Samples

  • Analysis of stress scenarios, in particular highlight tail risks within the firm-wide stress framework as well as ad-hoc. In depth analysis of existing pricing framework in stress
  • Working with the rest of the team, lead contact for coordinating and addressing Regulatory requests, incl. Legal Entities risk view
  • Interest rates & FX market and product knowledge is preferred
  • Prior experience in risk management is preferred
  • Knowledge of and keen interest in financial markets and derivative products
2

Functional Lead Currency Accounting & Management Stream Resume Examples & Samples

  • Capture and evaluate current state processes and requirements, working closely with FX Treasury Controllers, Treasury and the broader Controller population
  • Define a strategic and streamlined process flow and control framework, incorporating data capture, daily controller review and sign off processes, currency aggregation and exposure management, posting to general ledger and attestation
  • Work with Technology and DSL/GL functional leads to construct required architecture and define test plans
  • Determine migration and cutover plans with consideration of broader DSL and GL project plans
  • Oversee user acceptance testing, produce and roll out training
  • Thorough understanding of Morgan Stanley’s currency risk management and broader control framework
  • Strong communication, leadership and collaboration skills, with ability to build consensus view
  • Ability to critically evaluate processes and come up with creative ideas that mitigate risk and minimize nonstandard approaches
  • Ability to articulate Finance requirements clearly and in sufficient detail for Technology to work from
  • Qualified accountant (or equivalent)
  • Strong communicator with ability to interact with senior Business Unit counterparts
  • Strong interpersonal skills and proactive
  • Attention to detail with ability to work to a high level of accuracy
  • Fast and proactive learner
  • Strong sense of accountability and ownership
  • Excellent understanding of Morgan Stanley systems and Microsoft Office applications
  • Libra
  • SDP
  • Wise
  • CTA
  • Hera
3

Capital Markets Group Foreign Currency Team Leader Resume Examples & Samples

  • Manage and oversee both the Bank Management/Reconciliation Team
  • Daily oversight of error and correction process for wires, journals, and trade support
  • Will partner with Department VP in the development of error policies and procedures for FX and GC
  • Responsible for the daily oversight of Foreign Currency Bank Accounts and overdraft/debit interest handling
  • Perform daily quality control reviews and handle escalations and exceptions with cash management
  • Partner with the Department’s VP on all projects pertaining to OFAC/AML, Money Movement, and various process improvement initiatives within the area
  • Daily oversight of Bank Management and Settlement Account Reconciliation
  • Will also include complex investigation regarding Global Currency platform limitations and the development of solutions
  • Responsible for all metrics, capacity planning, and KRI tracking/reporting
  • Manage all project testing: BAU, Disaster Recovery, IRT, Client Service, REG E, OFAC and Wire Renovation
  • Become subject matter expert for cash management, wire handing, and the firm’s policies and procedures. Will also transfer knowledge to the team and create necessary updates to existing procedures
  • Departmental risk reporting and the maintenance of WSPs and procedure documentation
  • Identify areas for improvement and enhance existing procedures
  • Superior analytical and decision making skills
  • Effective risk management and complex problem solving
  • 2-5 years Experience with production management and ability to perform in a high pace environment
  • Proven track record in driving change and project management
  • Ability to work and drive results both within a team and independently
  • Effective team leader who can lead team interactions, and discussions in order to solve problems and meet business needs
  • Quick learner, and ability to adapt to change
  • Ability to think strategically and develop and execute both short and long term solutions
  • Experience in Banking Operations & FX is a plus
4

Foreign Currency Payments Analyst Resume Examples & Samples

  • The key challenges relate to scale and the global nature of the role. The role will demand effective communication and coordination among a broad array of internal and external stakeholders. Effective stakeholder management across a broad array of internal and external constituencies (e.g. customers, regulators, competitors, vendors, alliance partners, IT, Operations, Compliance, Tax, Legal, Finance etc) is central to the role. Given the complexity of the business, the marketplace, and the HSBC Group inclusive of client segments as a whole, stakeholder management and effective leadership is essential to the role and will often present new challenges to the job holder
  • A multitude of variables that have a direct bearing on the role include; rapidly changing market conditions in a very competitive environment, sophisticated and evolving nature of clients’ businesses and technology, interest rate volatility, pricing compression, exiting or lowering lines of credit, the introduction of disruptive technologies, regulatory and accounting changes driving new or enhanced legal documentation and finally non traditional competitors creates an ever changing landscape of threats and opportunities which the job holder will be required to meet head on and deal with effectively. Driving execution and commercialization is therefore not straightforward and requires prompt and astute business leadership by the job holder
  • Familiar with current and future industry trends relating to product development
  • Outstanding analytical skills and attention to detail
5

Technology Currency Program, Program Director Resume Examples & Samples

  • Successfully management programs with Transformational Business Impact or Very High Business Risk
  • Experience in working in both application and infrastructure
  • General knowledge of factors affecting business
  • People Management Knowledge
  • RBC HR philosophy, principles, direction, policies & guidelines
6

Foreign Currency Product Analyst Resume Examples & Samples

  • Global Product Strategy Design with primacy for P&L
  • Oversight for Product Governance, Product Risk Mitigation and Product Fraud Prevention
  • Relationship Managers and Global Relationship Managers worldwide as appropriate
  • Regional/functional CTSOs
  • Regional and Global Service Delivery Centers of Excellence
  • Compliance, Credit, Balance Sheet Management, Legal, and Tax
  • Customers
  • Regulators as appropriate
  • Education to degree-level, and proven and progressive experience in product management, operations or technology
  • Strong experience managing cross-functional or design teams
  • Extensive experience in commercial and business management either in product management, operations or IT with marketing a plus
  • Preferably experienced in one or more Payments and Cash Management core business lines
  • Strong organizational leadership and personnel management skills, including proven track record, developing people and building innovative offerings/solutions that drive growth
  • Excellent leader/teacher
  • Strong background in product development, or operations with hands-on technology or business transformation experience
  • Minimum of 3 years relevant experience
7

Portfolio Analyst, Currency Resume Examples & Samples

  • On a daily basis, determine client positions and currency exposures relative to guideline targets which forms the basis for making trading decisions by the Portfolio Managers. This requires accessing data via various custodian on-line systems, Bloomberg, and data vendor websites, as well as tracking client cash flows. Analyzing data for accuracy is a crucial step and requires working directly with the client, the client’s investment managers, and the client’s custodian to investigate questionable data
  • Assist the Portfolio Managers in the implementation of client currency overlays. Perform daily/monthly performance calculations and reporting. Complete required reconciliations, populate investment models, and respond to ad hoc client requests. Work directly with internal and external clients, providing updates, investment reporting, and overall client service
  • Improve and evolve the existing investment process to build greater scalability and efficiency to support increasing numbers of client portfolios. Work with business development teams on technology improvements. Promote best practices including workflows, policies, and procedures for the Currency team to effectively process a variety of strategies and meet regulatory requirements
  • Maintain a high level of associate engagement through teamwork. Participate in team projects, double-check work for accuracy, train new team members, and contribute to team education/training
  • Bachelor's degree (or equivalent) in Business (Accounting/Finance) or other quantitative discipline is required
  • Progress toward CFA/CAIA/CPA/FRM is preferred
  • Knowledge of investment concepts, portfolio account and investment operations
  • Analytical, detail-oriented and very precise with numbers with a strong attention to detail
  • Technology skills, including strong proficiency with access and excel. Programming with VBA and SQL considered a plus
  • Proven client service abilities
  • Flexible and ability to thrive in a fast-paced, unstructured environment
8

Director Currency Strategist Foreign Exchange Resume Examples & Samples

  • Reporting up through the FX business line we are recruiting a trade floor desk strategist covering G10 currencies
  • Collaboration with FX, fixed income, and commodity strategists
  • Potential to take on management responsibility, leading team of global FX strategists
  • Developing and contributing to all FX strategy reports, presentations and conference calls; including the Daily FX Update, FICC reports and joint Economic research
  • Fundamental analysis of FX markets, including economic research of underlying economies, global macro trends and modeling
  • Technical analysis, including charting of major currency pairs
  • Client presentations on behalf of FX sales to deliver FX strategic views and economic updates
  • This role has a substantial amount of growth potential once strategist is established
  • 8+ years of relevant experience either as a FX and/or Fixed Income desk strategist or in portfolio management
  • Extensive capital markets experience is essential in this role
  • Strong writing skills - with the ability to write concisely, sum up complex market developments and meet short deadlines. A published analyst would be considered an asset
  • Superior presentation skills and experience - candidate will be expected to meet and present to clients in small and large sessions
  • Ability to work well within small team, experience leading teams and ability to collaborate easily with internal groups
  • Experience and interest in technical analysis would be an asset
  • Solid understanding of economics, with supporting education and experience would be an asset
  • Experience with media would be an asset (TV, radio, print)
  • Well-developed work ethic and ability to work non-standard hours; including beginning work before 6am EST with Canadian and international travel
  • Education: Graduate degree and CFA
9

CIB F&BM Currency Emerging Market Product Controller Resume Examples & Samples

  • Understanding the key functions & responsibilities of the various groups involved within every stage of the trade life cycle, namely the front, middle & back office groups. A good understanding of the functions of Risk management systems, settlement & accounting engines is an integral part of the job. In depth understanding & navigation through trader, settlement & accounting systems & platforms
  • Daily Pnl generation, reporting to desk traders & Pl explain
  • Performing validations, analysis and explanation on daily risk
  • Reconciling the risk parameters in the VaR feeds from risk management systems, risk downstream system and trader signoffs
  • Performing Clean P&L to VaR monitoring and provide commentaries on excessions
  • Ensuring basic data integrity & sanctity of the general ledgers which are the official books & records of the Bank
  • Other monthend controls including but not limited to Valuation reserves, Income Attribution, GL Account ownership & sign-off
  • End to end ownership of a desk or more including pnl, balance sheet
  • Sound understanding of basic Accounting & Finance concepts
10

Cib-market Risk Coverage Currency & Emerging Markets VP Resume Examples & Samples

  • Oversight of changes in VaR and sVaR Vs changes in risk profiles across the whole spectrum of markets covered by the Currencies and Emerging Markets Business
  • Track performance of VaR (daily) and sVaR (weekly) through dashboards provided by VaR analytics, Reporting teams, Market Data teams
  • Provide qualitative and quantitative justification for VaR/sVaR changes with focus on large positions as well as on illiquid markets
  • Lead change and enhancements while working with the desk aligned Risk Managers as well as Market Risk Quantitative Research team and Technology
  • Extract value-added information to discuss in the weekly Risk forums, in particular to highlight tail risks Vs upcoming market events (for instance, to highlight best/worst VaR days and VaR/Stressed-VaR drivers)
  • Proficiency in Excel is required, capable of building an automated testing environment or handling of a large data set for analysis or testing
11

Currency Trading & Risk Management Resume Examples & Samples

  • Measure, analyze, and control credit and market risk for the firm’s liquid investments
  • Support liquidity, capital markets, and credit initiatives for the firm and its funds
  • Contribute to overall balance sheet risk management for BX including the design and execution of FX hedging strategies
  • Execute FX transaction flow for Blackstone and its funds
  • Partner with deal teams in analyzing FX hedging strategies for foreign currency investments
  • Manage FX relationships for the firm and its funds across multiple counterparties, including managing the credit and KYC process
  • Build and Maintain interest rate curves in Blackstone’s treasury management system (Wall Street Suite) in support of FX and interest rate derivative valuation
  • Contribute to Blackstone’s corporate debt capital markets initiatives
  • Help structure and negotiate corporate and fund credit facilities
  • Build and maintain Excel models for investment analytics
  • 2-3 years of related experience on an FX trading desk at an investment bank
  • Highly proficient in Excel, PowerPoint and Bloomberg
12

Cross Currency Market Manager Resume Examples & Samples

  • Drive new Opportunity Origination: Support the dedicated Cross Currency sales team and wider population (TTS Sales, Banking, GSG) to identify new FX opportunities, build client-specific value propositions and win new business. The market manager will identify opportunities through internal and external engagement, data mining and various other sources. The Cross Currency Market manager will work closely with the wider Cash Market Management team on proposition development and will lead discussions with Sales teams and drive forward opportunities through to implementation and revenue realisation
  • Deliver Expert Sales and Product Support: Product expertise in Cross Currency Soltutions (WorldLink, Cross Border Funds Transfers, IFX, etc.) for both Sales and Product colleagues. Provide solutioning, pricing and support implementation monitoring of deals. Deliver new Sales information and collateral. Work with internal teams to solution complex deals and bring through relevant review processes
  • Actively Manage existing Client Portfolio: Actively manage and track the behaviour of existing clients and work with on a monthly basis with an aim to maintain and reduce the team projected revenue attrition
  • Support development of business partnership between TTS and FXLM: Active engagement of FXLM colleagues including delivering appropriate trainings and deal guidance. Input into joint development roadmap and business case for new solutions
  • Commercially focussed role with exposure to many stakeholders in Sales and Product
  • Integration within the EMEA P and R Product team with immersion within Cross Currency and also wider P and R team regionally and within EMEA
  • Expert knowledge in transactional payments and Receivables FX
  • Exposure to areas of the TTS-FXLM partnership
  • Cash Management experience
  • Payments knowledge (especially transactional FX knowledge)
  • Client exposure
  • Commercially focussed (pricing, P and L)
  • Foreign Exchange knowledge
  • Proven ability to coordinate multiple stakeholders at regional level
  • Considerable experience with client interaction
  • Analytical Skills including Excel
  • Presentation and writing skills
  • Additional Languages (optional)
  • P and L modelling
13

Manager Currency Services Projects Resume Examples & Samples

  • Development of Projects
  • Manage all project opportunities by engaging key stakeholders/subject matter experts to ensure the necessary resources may be identified and earmarked early in the process
  • Develop and manage the relationship with all stakeholders, internally and externally, to be sure of their ongoing support for projects, through regular meetings, conference calls and the development of action plans
  • Ensure senior management is kept fully apprised of development progress, through clear, open and regular communication
  • Develop and deliver any power point presentations required to articulate the scope and benefits of a project for any interested parties/possible stakeholders
  • Manage and collate all project related information/data and ensure it is accurate, relevant and timely
  • Manage and draft all business case requirements, terms of reference and or funding requests, including all necessary documents and supporting material
  • Manage and coordinate the negotiation of any project related monetary and legal contracts
  • Continuously liaise within the Currency Services team to identify project opportunities which will add value for Currency Services clients, either internally or outsourced
  • Planning of Projects
  • Develop and coordinate all required project plans by working closely with key stakeholders/subject matter experts to ensure all appropriate resources are deployed as effectively as possible
  • Review and approve/obtain approval, as necessary, all project related documentation, including requirements documents, general design documents, external design documents, manual updates, job aids, circulars & bulletins
  • Manage, coordinate and facilitate all project planning meetings, ensuring stakeholders are consistently present and participation is constructive and timely
  • Ensure the documentation and distribution of all project meeting minutes is completed in a timely manner
  • Manage all key project time lines by maintaining and updating all supporting documentation and by addressing/escalating any slippage or omissions with relevant stakeholders and/or senior management
  • Manage any project costs and budgets, ensuring that any issues/overruns are addressed and escalated with recommendations, as applicable, and contingencies are considered
  • Develop contingency plans that may be required, in the event that an implementation does not go according to plan
  • Assist with any system testing requirements, as necessary, to ensure any business line issues or problem logs are addressed and corrected
  • Ensure any legal contracts required to be in place prior to a project implementation are progressing at an appropriate rate to ensure a timely completion
  • Implementation of Projects
  • Manage all implementations by effectively communicating and obtaining from all stakeholders their state of readiness for delivery, prior to start up of changeover
  • Facilitate implementation by either arranging to be on site, where applicable, or making necessary contact arrangements to be available as needed
  • Arrange for any escalation details to ensure that issues arising can be brought to the attention of those responsible as quickly as possible
  • Manage contingency plans, as necessary, in the event deployment is required. Ensure senior management is kept fully informed at all times
  • Document as necessary, any ongoing activities and provide reports as required to keep stakeholders and senior management informed throughout the implementation process
  • Trend any possible issues or concerns experienced to help bring clarity to issues arising and/or provide input for any future project implementations
  • Delivery and Transition of Projects
  • Manage the transition of the project, during and after implementation, from project personnel to support personnel by ensuring the hand-off is fully documented and facilitated at all levels
  • Ensure ongoing support for any new processes or changes is available at the outset and a full description of the support requirements provided
  • Document and/or coordinate any final reports that may be required, to bring closure to a project
  • Ensure all project benefits forecast are achieved and applied, as required
14

Finance Manager, Gmed Foreign Currency Resume Examples & Samples

  • Lead Finance Team – Training, Development, Coaching, Mentoring, Supervision
  • Currency / Hedging Processes
  • Transactional Currency analytics and forecasting
  • Month End, Quarter Close Entries, Balance Sheet Recs, Management Reporting
  • Ad Hoc Projects / Development / Networking
  • Strong analytical, technical accounting, working knowledge of hedging and problem solving skills
  • Able to work autonomously and accurately
  • Excellent interpersonal skills, team player, and willing to work in a flexible environment
  • Ability to support of wide variety of teams and strategies simultaneously
  • In depth knowledge of supply chain hedging policies and finance accounting practices
  • In depth knowledge of financial systems and applications
  • Superior partnering skills coupled with in depth financial/operation understanding of the products/projects/programs
  • Ability to drive a high performing organization and to develop future finance leaders
  • Ability to make the financially complex simple, in interactions with financial leaders
  • MD sourcing and hedging experience is an asset
15

Infrastructure Services Lead-operational Currency Resume Examples & Samples

  • Infrastructure advocate aligning operational roadmap delivery of minor version upgrades to infrastructure supported tools and platforms, operating system patching and software fixes with our outsourcing vendor
  • Lead and promote strategic direction of the infrastructure currency service to address business needs
  • Ensure alignment between application requirements and infrastructure capabilities through consultation and project approval
  • Co-ordinate with application support and out sourcing vendor to successfully plan/execute the implementation processes for version upgrades, software fixes, and preventative maintenance to minimize risk and service disruptions
  • Successfully drive application migrations from current and legacy platforms to current, standards based platforms
  • Function as an internal subject matter expert responsible for tracking technical and business trends, assessing their impact and developing strategies for the delivery of your services
  • Ensure smooth and efficient operations within a very large, complex environment
  • Leadership of currency and refresh efforts
  • Build and maintain strong relationships with outsourcing partner and technical teams ensuring efficient services adhering to SLA’s and business expectations
  • Develop and drive service improvements based on RCA’s, trends and vendor inputs
  • Serve as a cross-functional technical leader on various infrastructure based initiatives
  • Define Service Catalog for Services
  • Work with vendors to develop options and provide recommendations
  • Participate in the review/development of new technology and service standards
  • Provide leadership during major incidents
  • Participate in 24/7 on-call rotation
  • Make an impact by getting things done, focusing on what matters, owning and delivering superior results for all stakeholders for short and long-term goals
  • Post-secondary education with degree/diploma/certifications
  • 10+ years of experience providing technical expertise and leadership including solution design within large organizations
  • Experience dealing with outsourced IT relationships
  • Experience and/or training related to Service Delivery Frameworks (TOGAF, eTOM, ITIL, CoBiT, etc.)
  • Strong knowledge in servers (Linux, Windows, Unix)
  • Strong knowledge in SAN and NAS
  • Strong knowledge in network
  • Strong knowledge in IT Service Management and ITIL best practices
  • Strong experience managing, maintaining, patching, upgrading and refreshing large environments within an enterprise
  • Experience transitioning applications from traditional IT infrastructure to automated, software defined “cloud” environments (IaaS, PaaS, SaaS)
  • Experience leading large technical implementations
  • Experience providing operational support
  • In-depth understanding of storage, server and virtualization architecture design techniques, theories, principles, and practices
16

Imd-gsam-fixed Income & Currency Resume Examples & Samples

  • Strong academic record with minimum MBA or equivalent required
  • Prior trading and asset management experience gained from working in investment banking industry required
  • Experience in portfolio and risk management required
  • Must have knowledge of Bloomberg, VBA and MS Office package
  • Experience of analysing/monitoring markets and providing insight to relevant stakeholders required
  • Must have keen interest and experience of markets
  • Reporting experience required
  • Quantitative and analytical skills with excellent attention to detail required
  • Strong systems knowledge and technology skills required
  • Strong organisational and communication skills essential
  • Must have the ability to multi-task and work efficiently under pressure
17

CIB F&bm-currency Emerging Market Product Controller Resume Examples & Samples

  • Assessment of scope based on requirements for the business
  • Working with other groups such as Planning & Analysis and Legal Entity Control to gather their requirements
  • Providing feedback into the Business Requirements documentation through the workstreams
  • Communicating updates to key stakeholders within Product Control, across regions
  • Partnering with Financial Control to ensure roles and responsibilities are defined
  • Working with Financial Controllers to define the target chart of accounts
  • Preparing test cases to meet business requirements
  • Providing training requirements for the business
  • Testing results of migration
  • Strong understanding of accounting principles with particular emphasis on trading products
  • Prior experience in project management and/or financial control
  • Good understanding of the general ledger
  • Ability to manage conflicts between stakeholders
  • Ability to operate in a pressured environment
  • Ability to work in a team
  • Knowledge of JPM financial systems while not essential would be of significant benefit in this role
18

Currency Manager Resume Examples & Samples

  • Act as an advisor to both internal Treasury businesses e.g. Capital and business teams, sharing knowledge on markets, instruments and economics. This will ensure the decisions made will minimise any costs of hedging and unhedgeable
  • Leverage economic knowledge, team discussions and market awareness on rates, currencies and instruments to (i) recommend funding and hedging strategies to senior trader in the teams or desk head and (ii) act as a trusted advisor to stakeholders in Treasury (eg Capital, Transfer Pricing) and in the Banking Book business units
  • Use broad and comprehensive awareness of the desk’s objectives and risk limits to form effective funding and risk strategies, contributing to the ongoing improvement of returns on the desk
  • Ability to take risk
  • Customer focused, strong desire to provide a good execution service to the Banking Book
  • Strong stakeholder management skills across Treasury and the Firm to deliver BAU and tactical objectives for ALM Execution. The role will involve building these relationships and leveraging them to deliver many of the tasks covered in this job specification. The candidate will be supported by management but will have room to develop these skills
  • Ability to work well under pressure and prioritise key tasks
  • Interest rate risk measurement, management, and execution, including Structural Hedging
  • Knowledge of interest rate markets and products
  • Awareness of hedge accounting
  • Understanding of Transfer Pricing mechanisms and Treasury, more generally
  • Basic knowledge of P&L calculation approaches, both Accrual and MTM, as well as standard Market Risk models such as Earnings at Risk and DVaR
  • Identification of process improvements and delivery of change requirements
  • Experience of working within limits and a strong control framework
  • Some experience of programming preferable (VBA, SQL)
  • Demonstrated ability to deliver excellence in a high pressure environment
  • Strong stakeholder management skills and ability to work across businesses and senior managment
  • Ability to identify and propose solutions to business requirements
  • Works independently to deliver BAU and tactical projects
19

Currency Portfolio Manager Resume Examples & Samples

  • 10+ years' portfolio management/trading experience in global and/or emerging markets FX
  • Demonstrated investment acumen, with a proven track record as a risk taker
  • Skill in total return/absolute return investing
  • Strong skills and experience in investment research, portfolio construction, and downside risk management
  • Familiarity with fundamental, quantitative and technical investment strategies, as well as derivative instruments
  • The ability to work both independently and as part of a global team
20

Currency Management FX Controller Resume Examples & Samples

  • Understanding of FX Risk
  • Solid experience in product control with risk management skill set
  • System mind-set with a willingness to drill through to the root cause of issues
  • Appreciation of risk management how it can be achieved through changes to process and technology
  • Exposure to Operational Risk activities
21

Currency Management FX Overlay Analyst Resume Examples & Samples

  • Assist in the monitoring and implementation of the FX overlay program in accordance with set guidelines. Ensure that instructed FX trades are accurate and error free
  • Effectively communicate with custodians and middle office providers to resolve trade issues when they arise
  • Identify areas in need of workflow automation. Design and implement these improvements where needed
  • Thirst for knowledge in issues affecting the FX markets. Ability to pick up on how fiscal and monetary policies can cause a currency to appreciate/depreciate
  • Manage ad-hoc deliverables as necessary
  • Prior work experience in the financial services industry
  • Understanding of mutual fund accounting
  • Understanding of roles of different industry service provides (i.e. custodian, transfer agent, fund administrators, etc.)
  • The ability to learn and absorb systems and workflows
  • Ability to manage projects and effectively plan and implement workflows
  • Error free track record
  • Excellent analytical, organizational and communication skills
  • Proficiency in Excel. Experience with VBA and SQL preferred but not required
22

Foreign Currency Accounting Coordinator Resume Examples & Samples

  • Responsible for daily global counterparty report, highlighting major variances day on day, and communicating any counterparty risks above standard thresholds
  • Prepare and distribute weekly management reports to America’s Currency Center and individual units to support management decision making
  • Daily review of Currency System to validate daily rate feeds successfully updated to ensure timely and appropriate information is available
  • Prepare and distribute periodic settlement reports to all on-shore units
  • Responsible for periodic reconciliation of all internal to external trades
  • Assist with the Currency and Commodity Center period close for all America’s units. This involves providing the units with their reporting on both their realized and unrealized hedging results to ensure Balance Sheet and P&L accuracy
  • Prepare support documents for quarterly and year end Currency Commentary for McLean and HFM submissions
  • Support quarterly exposure and actual collection and input into currency system
  • Prepares forecast accuracy reporting for all Americas units (approx.30)
  • Supports compliance with Dodd-Frank Policy and regulations through the compilation of USIs
  • Respond to miscellaneous projects and ad hoc requests
  • The Mars, Inc. Finance Manual and Currency Manual must be followed at all times
  • The majority of the assignments and duties completed in this position are done using the daily output generated through the Currency System. The daily work is performed independently with a minimum of direct supervision; however the work is reviewed daily by the Currency Specialist or Currency & Commodity Back Office Manager. Unusual problems or circumstances are discussed with the specialist
  • Strong communication skills are important in building effective working relationships
  • Maintaining good relationships with Bank back office personnel, associates in North and South American units and Commercial FX traders are critical and ensures problems will be resolved in a timely manner
  • Sources available to aid this position are
  • 2+ years’ work experience in an Accounting related field is preferred
23

Senior Currency Analyst Resume Examples & Samples

  • Analysing currency exposures within funds and ensuring they comply with strict hedging parameters, liaising as required with FIL’s international Investment Management teams, Risk and Compliance teams as required
  • The position offers exposure to a number of departments including Treasury, Investment Management, Product Development, Risk, Compliance and Operations
  • Daily monitoring and analysis of funds’ securities holdings, cash and portfolio instruments in fixed income, equity, multi-asset and fund-of-funds structures, in order to ensure that all currency hedging mandates meet all relevant regulatory tests and internal guidelines at all times
  • Trade within approved guidelines with counterparty banks to negotiate FX deals on best execution basis
  • Maintain effective communication between Treasury and other areas globally within Investment Management, Oversight and Administration, particularly in product development initiatives
  • Develop a clear understanding of existing currency hedging requirements of the global Investment Management function, liaising closely with Portfolio Management teams, Institutional Support Services, Investment Directors
  • Associated FX and liquidity management, performing dealing in foreign exchange and money market funds
  • It is anticipated that the role will evolve to increasingly focus on supporting North American product, which may require a commitment to cover late shift hours on occasion
  • Proven analytical experience in a Treasury / risk management environment
  • Relevant and in-depth experience encompassing FX dealing in international markets and associated treasury analysis and modelling skills within the funds management industry
  • Relevant tertiary qualification in Finance / Treasury
  • Advanced excel skills; familiarity with VBA / SQL would be a distinct advantage
  • Good awareness and commitment to risk management; diligent, conscientious and accurate
  • Ability to work well under pressure and meet deadlines
24

CIB FX Services Restricted Currency Trader Resume Examples & Samples

  • Assist in execution and risk management of FX based products including Emerging Markets Spot and NDF (Non Deliverable Forwards), related to the Investor activity of our clients
  • The individual will primarily focus on restricted markets FX which includes both the AutoFX offering and direct execution with some of JP Morgan’s biggest Investor clients
  • Work closely with senior team members, FX Client Management and Product, Network management, local liquidity providers, technology and operations, to develop and deliver a ‘best in class’ service and solutions to clients
  • Be prepared to work day or night shifts and provide coverage where necessary
  • Knowledge and interest in macroeconomics, market drivers and FX markets, especially Emerging Markets
  • Proficiency with market and product terminology
  • Highly motivated with an attention to detail in pressurized environment
  • Strong partnership skills, reliable (willing to cover shifts) and able to work independently
  • Experience working in FX Trading or FX Sales
  • Desired prior experience and exposure to EM and NDF’s
  • Desired proficient in Microsoft Office including Excel, VBA, Bloomberg, FX Connect
  • Desired experience of dealing with clients
  • Exposure to risk management
25

CIB FX Services Passive Currency Overlay Trader Associate Resume Examples & Samples

  • The individual will primarily focus on Passive Currency Overlay which includes both the Spot and Forward FX execution for some of JP Morgan’s largest Investor clients
  • Work closely with senior team members, FX Client Management and Product, local liquidity providers, technology and operations, to develop and deliver a ‘best in class’ service and solutions to clients
  • Keep up to date with key local and global regulatory changes
  • Be prepared to work day or night shifts and provide coverage where necessary to the wider team
  • Will include project work for the PCO product
  • Knowledge and interest in macroeconomics, market drivers and FX markets
  • Excellent numeracy skills and technically minded
  • Attention to detail whilst under pressure and to tight deadlines
  • Highly motivated, ability to adapt to steep learning curve, able to work independently
  • Reliable, adaptable and mature team player (willing to cover shifts)
  • Confident to challenge the status quo and able to communicate clearly and articulately to clients and management
  • Experience working in FX Markets
  • Prior experience and exposure to Frontier Markets
  • Proficient in Microsoft Office including Excel, proficiency in VBA, Bloomberg, FX Connect desirable
  • Previous client facing role advantageous
  • Knowledge of risk management
  • Knowledge of Fund Accounting, Transfer Agency, Transition Management, Custody would be beneficial
  • FCA registered/approved person
26

CIB F&bm-currency Emerging Market Product Controller Resume Examples & Samples

  • Review reconciliation of Derivative positions, Cash & MTM positions. Understanding key concepts such as MTM accounting, accrual accounting, Balance sheet monitoring & Nostro account tracking. Also involves Reconciliation of trader books & the GL
  • Design & adherence to stringent controls across all the processes. Involves continuous process reviews, audits, robust documentation of procedures, controls & key metrics. Regular review sessions / governance calls & exposure reviews of key metrics with all the stakeholders
  • Pnl generation and trader sign-off
  • Strong desktop skills & Microsoft excel knowledge
  • Ability to work flexible hours
  • Post Graduate/Certified Accountant/ Risk degree