Senior Treasury FX Deale
The National Bank, Palestine
Technical and fundamental analysis of the commodities and Forex Markets.
• Studying, analyzing, evaluating and forecasting macro and micro economic figures and releases and it's affects on the financial markets.
•Open FX Positions ( speculate) for Bank account to generate profit for my employer (Bank) account.
•Manage Bank Positions and bank's Customers Positions.
• Manage customer’s position risk through building customized Risk management module (usually using Excel).
•Trade with Different Treasury instruments as FX. Spot, Forward, Swaps and options.
•Conduct money market management.
•responsible for the night shift in treasury and holydays shifts.
• Training: in the last two years in TNB, i was responsible for the training the new entrance (juniors) and trainee’s student in treasury