Quote and execute long term (more than a year) FX forward transactions, for clients, interbank counterparties, and internal desks
Monitors spot and forward curves to provide competitive forward pricing
Manage spreads, liquidity and execution timing to optimize profitability
Monitor and manage open forward positions, interest rate differentials and carry exposures between currency pairs.
Analyze short-term interest rate trends, FX swap points and cross-currency basis spreads.
Keeps abreast of market developments and BSP rules that affects FX forwards movement and regulatory actions
Attends seminars, briefings, talks to enhance trading knowledge and competency; and perform other duties that may be assigned by the Linear Trading Desk Head
To uphold the Professional and Ethical standards of the Bank and the BAP-Code of Ethics.
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