Senior Dealer
Denne stilling er desværre ikke længere ledig.
Se alle ledige stillinger
København K
This is a rare opportunity for an experienced markets professional to join Maersk’s Treasury team as Senior Dealer, with primary responsibility for managing interest rate risk in the company’s debt portfolio.
Maersk has a diversified range of financing sources, ranging from bond programs in several currencies, bilateral loans, project financing and leases, which today make up a debt portfolio of about 12bn USD.
Effective management of the interest rate risk is a key responsibility for Treasury and an important driver of the company’s funding cost.
You will be an integral part in formulating and executing the company’s strategy for managing this risk. You will be working closely with the rest of the team in analyzing rates and FX markets, and with the group treasurer on strategy and major transactions.
Further, you will have ample opportunities to develop your skillset beyond financial markets and into general corporate treasury management.
Your home in Treasury and Risk (T&R) will be –the Funding team, a dedicated and diverse team of 7 professionals who share responsibility for the company’s internal and external debt.
The wider T&R team employs approximately 50 professionals of 12 nationalities. In addition to Funding, T&R consists of the Cash Management, Financial Reporting and Control and Insurance and Risk management teams. We are based in our head office at Esplanaden, Copenhagen, with liaisons around the globe.
Your responsibilities will be centered on financial markets - interest rates and FX, and you will be the expert and go-to person in the workings of the markets and how market risks impact the company and should be managed.
More specifically you will:
• Work actively with the debt and derivatives portfolio to minimize our funding cost, while reflecting our market view and risk appetite.
• Work closely with the team on debt transactions, designing and executing market hedge strategies.
• Leverage and manage our wide panel of partner banks to ensure best execution and quality market analysis.
• Develop our setup for measuring and monitoring market risk, utilizing and leveraging our brand-new treasury system Findur, working closely with Middle Office in the process.
• At all times, be on top of market movements, use your knowledge of economics, experience, and smartness to formulate a market view and be prepared to turn that view into a position when called for, while
• Never forgetting that you work in a service function, whose reason for being is to provide the company with financing, liquidity and balanced risk.
• Be prepared to take on challenges outside your established job description.
We are looking for a seasoned markets professional, ideally with at least 3-5 years of experience from a derivatives desk at a bank or major international corporate, where you have developed a deep understanding of derivatives pricing and structuring.
You hold a relevant academic degree, preferably a Master’s in finance or economics, with good grades.
You are a smart person, able to quickly take in and process information and draw conclusions, but are also able to communicate complex matters in English in a way that people can understand.
You don’t mind having many stakeholders and people asking things from you.
A no-quitter, you take initiatives and get things done and can drive a project or task across the finish line, even when facing obstacles.
As a performance-oriented company, we strive to always recruit the best person for the job – regardless of gender, age, nationality, sexual orientation or religious beliefs.
We are proud of our diversity and see it as a genuine source of strength for building high-performing teams.
We offer
Maersk has a diversified range of financing sources, ranging from bond programs in several currencies, bilateral loans, project financing and leases, which today make up a debt portfolio of about 12bn USD.
Effective management of the interest rate risk is a key responsibility for Treasury and an important driver of the company’s funding cost.
You will be an integral part in formulating and executing the company’s strategy for managing this risk. You will be working closely with the rest of the team in analyzing rates and FX markets, and with the group treasurer on strategy and major transactions.
Further, you will have ample opportunities to develop your skillset beyond financial markets and into general corporate treasury management.
Your home in Treasury and Risk (T&R) will be –the Funding team, a dedicated and diverse team of 7 professionals who share responsibility for the company’s internal and external debt.
The wider T&R team employs approximately 50 professionals of 12 nationalities. In addition to Funding, T&R consists of the Cash Management, Financial Reporting and Control and Insurance and Risk management teams. We are based in our head office at Esplanaden, Copenhagen, with liaisons around the globe.
Key responsibilities
Your responsibilities will be centered on financial markets - interest rates and FX, and you will be the expert and go-to person in the workings of the markets and how market risks impact the company and should be managed.
More specifically you will:
• Work actively with the debt and derivatives portfolio to minimize our funding cost, while reflecting our market view and risk appetite.
• Work closely with the team on debt transactions, designing and executing market hedge strategies.
• Leverage and manage our wide panel of partner banks to ensure best execution and quality market analysis.
• Develop our setup for measuring and monitoring market risk, utilizing and leveraging our brand-new treasury system Findur, working closely with Middle Office in the process.
• At all times, be on top of market movements, use your knowledge of economics, experience, and smartness to formulate a market view and be prepared to turn that view into a position when called for, while
• Never forgetting that you work in a service function, whose reason for being is to provide the company with financing, liquidity and balanced risk.
• Be prepared to take on challenges outside your established job description.
We are looking for
We are looking for a seasoned markets professional, ideally with at least 3-5 years of experience from a derivatives desk at a bank or major international corporate, where you have developed a deep understanding of derivatives pricing and structuring.
You hold a relevant academic degree, preferably a Master’s in finance or economics, with good grades.
You are a smart person, able to quickly take in and process information and draw conclusions, but are also able to communicate complex matters in English in a way that people can understand.
You don’t mind having many stakeholders and people asking things from you.
A no-quitter, you take initiatives and get things done and can drive a project or task across the finish line, even when facing obstacles.
As a performance-oriented company, we strive to always recruit the best person for the job – regardless of gender, age, nationality, sexual orientation or religious beliefs.
We are proud of our diversity and see it as a genuine source of strength for building high-performing teams.
Information og data
Denne ledige stilling har jobtypen "Finansmedarbejder", og befinder sig i kategorien "Økonomi og jura".
Arbejdsstedet er beliggende i København K.
Jobbet er oprettet på vores service den 4.2.2020, men kan have været deaktiveret og genaktiveret igen.
Dagligt opdateret: Dette job opdateres dagligt ud fra jobudbyderens hjemmeside via vores søgemaskineteknologi og er aktivt lige nu.
- Finansmedarbejder
- København K
Lignende jobs
-
Finansiel rådgiver til Rådgivningscenter Falkoner
Brænder du for tilfredse kunder, og synes du, det kunne være fedt at udvikle dig og styrke dine kompetencer indenfor finansiel rådgivning? Så er stillingen her måske lige noget for dig.Du .- Finansmedarbejder
- Frederiksberg
-
Finansiel rådgiver til Rådgivningscenter Nørreport
Brænder du for at rådgive veluddannede kunder, og vil du arbejde et sted, hvor der er fokus på din udvikling? Ser du samtidig en værdi i at bidrage til afdelingens resultater, samarbejde og udv..- Finansmedarbejder
- København
-
Quantitative Analyst
Job ID: 27406 Are you ready to be part of a team that believes in harnessing the power of data to make investment decisions? We are now looking for a Quantitative Analyst to develop and implem..- Finansmedarbejder
- København K
-
Går du op i at hjælpe kunderne og gøre dem tilfred...
Måske tænker du, at arbejdsmarkedspension lyder lidt ensformigt. Men det er det langt fra, for når du er kunderådgiver hos os, spiller du på alt det, du har lært fx på Forsikringsakademiet – og lid..- Finansmedarbejder
- København K
Statistik over udbudte jobs som finansmedarbejdere i København K
Herunder ser du udviklingen i udbudte finansmedarbejder i København K over tid. Bemærk at jobs der ikke har en bestemt geografi ikke er medtaget i tabellen. I den første kolonne ser du datoen. I den næste kolonne ser du det samlede antal finansmedarbejdere.
Se flere statistikker her:
Statistik over udbudte finansmedarbejdere i København K over tid
Dato | Alle jobs som finansmedarbejdere |
---|---|
23. november 2024 | 0 |
22. november 2024 | 0 |
21. november 2024 | 0 |
20. november 2024 | 0 |
19. november 2024 | 0 |
18. november 2024 | 0 |
17. november 2024 | 0 |
16. november 2024 | 0 |
15. november 2024 | 0 |
14. november 2024 | 0 |
13. november 2024 | 0 |
12. november 2024 | 0 |
11. november 2024 | 0 |
10. november 2024 | 0 |
9. november 2024 | 0 |
8. november 2024 | 0 |
7. november 2024 | 0 |
6. november 2024 | 0 |
5. november 2024 | 0 |
4. november 2024 | 0 |
3. november 2024 | 0 |
2. november 2024 | 0 |
1. november 2024 | 0 |
31. oktober 2024 | 0 |
30. oktober 2024 | 0 |
29. oktober 2024 | 0 |
28. oktober 2024 | 0 |
27. oktober 2024 | 0 |
26. oktober 2024 | 0 |
25. oktober 2024 | 0 |
24. oktober 2024 | 0 |