Position Overview
Responsibilities - Monitor and analyze daily legal entities and regional liquidity positions
- Develop models and execute liquidity management and FX hedging strategies
- Manage day-to-day FX requirements and drive down execution costs
- Enhance FX infrastructure by adding trading counterparties and automating flows
- Provide key input into merchant FX pricing and act as a point of contact for Commercial teams
- Ensure strict compliance with safeguarding and segregation requirements for merchant funds
- Design and utilize daily FX and liquidity MI reports to assess P&L and positions
- Manage Treasury governance, including presenting at regional ALCO and board meetings
- Participate in strategic new product launches and regulatory initiatives
Requirements - 6-8 years of Treasury experience, specifically in Prudential Treasury and Treasury Markets/Cash Management
- Deep hand...