Access Bank Kenya is seeking a passionate and driven individual to join its Treasury team as a Dealer in the Money Market. The successful candidate will play a vital role in managing the bank's liquidity and executing trades within the financial markets.
Role Overview
You will be responsible for delivering smart forex solutions, participating in FX trading, and ensuring effective liquidity management through rigorous market analysis.
Key Responsibilities
Trading & Execution: Execute foreign exchange (FX) trades and money market transactions to optimize the bank's position.
Liquidity Management: Monitor and manage the bank's daily liquidity to meet regulatory requirements and operational needs.
Market Analysis: Conduct continuous research and analysis of financial market trends and economic indicators to inform trading decisions.
Client Solutions: Develop and provide innovative forex solutions for clients.
Treasury Operations: Collaborate with the Treasury team to achieve overall departmental objectives.
Requirements
Education: Minimum of a Bachelor's degree (BA/BSc/HND) in a relevant field.
Passion: A strong interest in financial markets and treasury operations.
Technical Knowledge: Basic understanding of FX trading, liquidity management, and market analysis.
How to Apply
If you meet these requirements, please send your application and CV to TalentKenya@accessbankplc.com by 25th March 2026.
How to Apply
Please send your application and CV to TalentKenya@accessbankplc.com by 25th March 2026. Ensure the subject line clearly indicates the position you are applying for.