Deat Altruist,
Good Day!
I have been working at Treasury Department of a Commercial Bank as a Foreign Exchange (FX) Risk Manager and Dealer where my core jobs are given below:
1. Net FX open position management
2. Daily FX rate circulation for the Bank
3. Overall Foreign Exchange Risk Management of the Bank
4. Money Market Operation (Dealing with other Banks)
5. Derivatives instruments Management(Currency Swap, Forward Contact etc.)
6. Forex Trading and speculation (taking position in different cross currencies like EURUSD, GBPUSD, USDJPY)
Therefore, I would be grateful if you please help me find the most accurate NOC for my current job.
Good Day!
I have been working at Treasury Department of a Commercial Bank as a Foreign Exchange (FX) Risk Manager and Dealer where my core jobs are given below:
1. Net FX open position management
2. Daily FX rate circulation for the Bank
3. Overall Foreign Exchange Risk Management of the Bank
4. Money Market Operation (Dealing with other Banks)
5. Derivatives instruments Management(Currency Swap, Forward Contact etc.)
6. Forex Trading and speculation (taking position in different cross currencies like EURUSD, GBPUSD, USDJPY)
Therefore, I would be grateful if you please help me find the most accurate NOC for my current job.