New Vacancies at DTB Bank

 


WE ARE HIRING

Positions • Head Sales – FX
• Treasury FX Trader

Please send your application letter and CV to:
Email: [email protected]
Deadline: 1st March, 2026

Head Sales – FX

Job Purpose
Actively market FX Spot, FX Forwards, and derivative products to customers and enhance business turnover along with the desk’s income. Lead and manage the Treasury Sales team, develop and implement sales strategies, and ensure delivery of high-quality treasury products and services that contribute to the Bank’s financial performance and growth.

Duties

Strategic Planning and Management • Develop and implement treasury sales strategies aligned with the Bank’s overall business objectives.
• Monitor market trends, competitor activities, and regulatory changes to identify opportunities and risks.
• Set and achieve sales targets in line with revenue and profitability goals.

Sales and Business Development • Identify and pursue new business opportunities in the treasury market.
• Develop and maintain strong relationships with corporate clients, financial institutions, and other stakeholders.
• Provide tailored treasury solutions including foreign exchange, money market, and derivative products.

Requirements • Bachelor’s degree in Finance, Economics, Business Administration, Commerce, Banking and Finance, or a related field.
• ACI Dealing Certificate is required; professional certifications such as CFA are an added advantage.
• At least 7 years’ experience as a Senior Dealer in foreign exchange and/or money markets, with strong knowledge of local and international financial markets and major currency trends.
• Strong service ethic, ability to work independently in complex environments, and excellent evaluation, communication, and reporting skills.

Treasury FX Trader

Job Purpose
Actively trade and market FX Spot, FX Forwards, and derivative products in the interbank market to enhance business turnover and desk income.

Duties • Achieve FX volume and income targets by working closely with the sales team.
• Manage foreign exchange trading risks within approved limits.
• Initiate and maintain relationships with local and international counterparties.
• Monitor Daily Net Open Position (NOP) to ensure compliance with Board, BRMC, and ALCO limits.
• Conduct market analysis and research to identify trends affecting the Bank and the economy.
• Continuously evaluate currency exposure and implement daily FX risk mitigation strategies.

Requirements • Bachelor’s degree in Economics, Commerce, Banking and Finance, or a related field.
• ACI Dealing Certificate is required.
• At least 4 years’ experience as a Senior Dealer in foreign exchange and/or money markets, with strong knowledge of FX markets and major currency trends.
• Strong service ethic, ability to work independently in complex environments, and excellent evaluation, communication, and reporting skills.

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