Head Trading job at Equity Bank
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Head Trading
2025-04-10T12:23:28+00:00
Equity Bank
https://www.greatugandajobs.com/jsjobsdata/data/employer/comp_1532/logo/Equity%20Bank.png
FULL_TIME
 
kampala
Kampala
00256
Uganda
Business Management and Administration
Admin & Office
UGX
 
MONTH
2025-04-13T17:00:00+00:00
 
Uganda
8

The position holder will be charged with the management of the Bank’s Foreign exchange and interest rates in line with the Equity Bank’s business growth strategy.

 Key Responsibilities

  • Keep track of exchange and interest rate movements in local and international markets, hedging against exposure created by customer transactions while managing the bank’s position in accordance with the market trends.
  • Maintain exchange positions for the bank within the given parameters and ensure profitable covering of open positions in the interbank markets
  • Provide competitive quotes for both FX & Money market aimed at Servicing currency requirements for Equity bank clients while ensuring maximum returns in line with the Bank’s revenue aspirations.
  • Liaise with other subsidiaries & counterparties on maximization of trading income and build relationships with brokers/dealers to identify fixed income securities for both investing and trading
  • Analyses fixed income securities and invest in government securities taking into consideration multiple sources of information including industry and market research, historical data and projected financial statements.
  • Formulate and implement both the Money market and Fixed income trading Strategies.
  • Implement the Bank’s inter-bank money market trading affairs while monitoring all risks and making wise and logical decisions resulting in non-risky profitability
  • Prepare the monthly ALCO reports to be used during the monthly meetings
  • Constant and effective monitoring of the banks foreign currency exposure to ensure internal and BOU policy limits are adhered to.
  • In liaison with back-office departments, ensure timely renewal of Interbank & Counterparty Limits and ensure all reconciliations as per the treasury reconciliation guidelines.
  • Liaise with Refintiv, Bloomberg and any other service providers to ensure smooth operation of dealing platforms
  • Manage cash flow, liquidity and interest rate risk for the Bank and to ensure all key risk Indicators are in compliance with internal limits and regulatory requirements.
  • Perform interbank lending/borrowing, Funding swaps in accordance to the bank's asset-liability position

Desired Knowledge, Skills & Abilities

  • Bachelor’s degree in Economics or Business-related field.
  • Professional Qualifications: ACI dealing Certificate.
  • 7 years progressive experience in a Treasury environment/field.
  • Thorough understanding of the local and international financial services industry.
  • General banking experience.
  • Financial analysis Skills: Ability to analyse market information and provide structured solutions.
  • Analytical business and investment appraisal Skills: Able to provide advice and cause/effect evaluation to support business decision making.
  • Knowledge of Foreign exchange, Rates & Money market trends
Keep track of exchange and interest rate movements in local and international markets, hedging against exposure created by customer transactions while managing the bank’s position in accordance with the market trends. Maintain exchange positions for the bank within the given parameters and ensure profitable covering of open positions in the interbank markets Provide competitive quotes for both FX & Money market aimed at Servicing currency requirements for Equity bank clients while ensuring maximum returns in line with the Bank’s revenue aspirations. Liaise with other subsidiaries & counterparties on maximization of trading income and build relationships with brokers/dealers to identify fixed income securities for both investing and trading Analyses fixed income securities and invest in government securities taking into consideration multiple sources of information including industry and market research, historical data and projected financial statements. Formulate and implement both the Money market and Fixed income trading Strategies. Implement the Bank’s inter-bank money market trading affairs while monitoring all risks and making wise and logical decisions resulting in non-risky profitability Prepare the monthly ALCO reports to be used during the monthly meetings Constant and effective monitoring of the banks foreign currency exposure to ensure internal and BOU policy limits are adhered to. In liaison with back-office departments, ensure timely renewal of Interbank & Counterparty Limits and ensure all reconciliations as per the treasury reconciliation guidelines. Liaise with Refintiv, Bloomberg and any other service providers to ensure smooth operation of dealing platforms Manage cash flow, liquidity and interest rate risk for the Bank and to ensure all key risk Indicators are in compliance with internal limits and regulatory requirements. Perform interbank lending/borrowing, Funding swaps in accordance to the bank's asset-liability position
 
Bachelor’s degree in Economics or Business-related field. Professional Qualifications: ACI dealing Certificate. 7 years progressive experience in a Treasury environment/field. Thorough understanding of the local and international financial services industry. General banking experience. Financial analysis Skills: Ability to analyse market information and provide structured solutions. Analytical business and investment appraisal Skills: Able to provide advice and cause/effect evaluation to support business decision making. Knowledge of Foreign exchange, Rates & Money market trends
bachelor degree
84
JOB-67f7b84083ce8

Vacancy title:
Head Trading

[Type: FULL_TIME, Industry: Business Management and Administration, Category: Admin & Office]

Jobs at:
Equity Bank

Deadline of this Job:
Sunday, April 13 2025

Duty Station:
kampala | Kampala | Uganda

Summary
Date Posted: Thursday, April 10 2025, Base Salary: Not Disclosed

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JOB DETAILS:

The position holder will be charged with the management of the Bank’s Foreign exchange and interest rates in line with the Equity Bank’s business growth strategy.

 Key Responsibilities

  • Keep track of exchange and interest rate movements in local and international markets, hedging against exposure created by customer transactions while managing the bank’s position in accordance with the market trends.
  • Maintain exchange positions for the bank within the given parameters and ensure profitable covering of open positions in the interbank markets
  • Provide competitive quotes for both FX & Money market aimed at Servicing currency requirements for Equity bank clients while ensuring maximum returns in line with the Bank’s revenue aspirations.
  • Liaise with other subsidiaries & counterparties on maximization of trading income and build relationships with brokers/dealers to identify fixed income securities for both investing and trading
  • Analyses fixed income securities and invest in government securities taking into consideration multiple sources of information including industry and market research, historical data and projected financial statements.
  • Formulate and implement both the Money market and Fixed income trading Strategies.
  • Implement the Bank’s inter-bank money market trading affairs while monitoring all risks and making wise and logical decisions resulting in non-risky profitability
  • Prepare the monthly ALCO reports to be used during the monthly meetings
  • Constant and effective monitoring of the banks foreign currency exposure to ensure internal and BOU policy limits are adhered to.
  • In liaison with back-office departments, ensure timely renewal of Interbank & Counterparty Limits and ensure all reconciliations as per the treasury reconciliation guidelines.
  • Liaise with Refintiv, Bloomberg and any other service providers to ensure smooth operation of dealing platforms
  • Manage cash flow, liquidity and interest rate risk for the Bank and to ensure all key risk Indicators are in compliance with internal limits and regulatory requirements.
  • Perform interbank lending/borrowing, Funding swaps in accordance to the bank's asset-liability position

Desired Knowledge, Skills & Abilities

  • Bachelor’s degree in Economics or Business-related field.
  • Professional Qualifications: ACI dealing Certificate.
  • 7 years progressive experience in a Treasury environment/field.
  • Thorough understanding of the local and international financial services industry.
  • General banking experience.
  • Financial analysis Skills: Ability to analyse market information and provide structured solutions.
  • Analytical business and investment appraisal Skills: Able to provide advice and cause/effect evaluation to support business decision making.
  • Knowledge of Foreign exchange, Rates & Money market trends

 

Work Hours: 8

Experience in Months: 84

Level of Education: bachelor degree

Job application procedure
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Job Info
Job Category: Administrative jobs in Uganda
Job Type: Full-time
Deadline of this Job: Sunday, April 13 2025
Duty Station: kampala | Kampala | Uganda
Posted: 10-04-2025
No of Jobs: 1
Start Publishing: 10-04-2025
Stop Publishing (Put date of 2030): 10-04-2066
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