FX Trading Managing Director - Risk & Client Growth

First National Bank

Charlotte (NC)

On-site

USD 350,000 - 650,000

Full time

14 days+
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Job summary

First National Bank in Charlotte, NC is seeking a Managing Director of Foreign Exchange Trading to lead the FX trading desk, manage risk, and deepen client relationships with FX solutions.

The role requires extensive experience in FX markets, leadership, and delivering profitable trading; you will coordinate with International Banking and Commercial Banking teams to meet risk and revenue targets.

Qualifications

  • BA or BS degree required.
  • 15+ years of relevant experience.
  • Proven expertise in foreign exchange and risk management.
  • Strong relationship-building with CFOs and Treasurers.

Responsibilities

  • Manage risk and lead the FX trading desk for the Bank and clients.
  • Develop and retain relationships while meeting risk, fee income and profitability targets.
  • Sell FX products and risk management solutions to clients.
  • Develop hedging strategies for clients and the Bank's own portfolios.
  • Establish ISDA, FX Agreement and Dodd-Frank documentation when required.
  • Train and guide junior team members in FX trading and market dynamics.
  • Collaborate with Finance, Back Office and FX platform vendors on post-trade issues.

Skills

Communication
Customer service
Organization
Analytical skills
Project management
Detail-oriented
MS Office
FX systems

Education

BA or BS

Tools

Thomson Reuters
Bloomberg
360T

Job description

First National Bank in Charlotte, NC is seeking a Managing Director of Foreign Exchange Trading to lead the FX trading desk, manage risk, and deepen client relationships with FX solutions.

The role requires extensive experience in FX markets, leadership, and delivering profitable trading; you will coordinate with International Banking and Commercial Banking teams to meet risk and revenue targets.

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