JOB RESPONSIBILITIES
1. FX Position Monitoring & Daily Dealing Support
- Preparing daily foreign exchange position calculations to support buy and sell operations.
- Monitor FX transactions and balances to ensure activities remain within approved limits and procedures.
- Promptly escalate any unusual movements, limit breaches, or operational issues to the FX Manager.
2. FX Rate Research & Client Quotation Support
- Research and source foreign currency buying and selling exchange rates from reliable local and international markets and institutions.
- Support the quotation of competitive FX rates in line with Wing Bank’s FX policies and pricing guidelines.
- Provide timely and accurate special exchange rate quotations to clients referred by frontline teams, subject to internal approval requirements.
3. FX Rate Update & Market Communication
- Update the Bank’s standard FX rates in the system promptly based on market movements, as instructed by the FX Manager.
- Communicate FX rate changes clearly and timely to internal teams and relevant stakeholders to minimize operational, financial, and reputational risks.
5. Training Support & Internal Coordination
- Support the FX Manager in delivering briefings or training sessions to frontline and internal teams on FX dealing processes and control procedures.
- Assist in communicating updates related to FX procedures, service changes, and operational guidelines.
- Coordinate with Operations, Finance, and other internal units to ensure smooth FX processing and settlement.
6. Market Monitoring & Business Support
- Monitor competitor FX pricing and market activities to identify potential sales or retention opportunities.
- Provide market observations and operational insights to the FX Manager to support revenue initiatives.
- Maintain up‑to‑date knowledge of Wing Bank’s products, procedures, and marketing campaigns to effectively support client interactions.
JOB REQUIREMENTS
- Bachelor’s degree in Finance, Banking, Economics, Business, or a related field
- Minimum 3 years of experience in FX operations, treasury dealing support, or banking treasury
- Experience in FX rate quotation, position monitoring, and FX reporting
- Good understanding of FX markets, banking products, and treasury control procedures
- Strong attention to detail, numerical accuracy, and risk awareness
- Good professional English communication skills