Senior Treasury FX Deale
The National Bank, Palestine
•Technical and fundamental analysis of the commodity and Forex Markets.
• Studying & evaluating the macro and micro economic conditions which affect the commodity and Currency markets.
•Open FX Positions for Bank account
•Manage Bank Positions and bank's Customers Positions
•Analyse Forex Market throught Technical and Fundamental Analysis
•Trade with Different Treasury instruments as FX. spot, Forward, Swaps and options.
•do money market management.
•responsible for the night shift in treasury and holydays seasons