* dealing foreign exchange spot, forwards and also options and money markets * identifying, interpreting, structuring solutions (simple on own, more complex with trader), explaining and executing customer treasury FX risks through direct customer dialogue * enthusiasm and passion to provide exceptional customer service * formal dealing and further market related qualifications useful in demonstrating knowledge and skill levels compared to industry benchmarks * will have opportunity to sell fx, mm, ir, repo... * additional languages useful but not essential * to satisfy our timing and existing market contact requirements candidates should already be working in London bank Additional background Have excellent growth plans over the next 3 years. Treasury team to expand as well and that will present opportunities to staff to progress their careers. The Bank has an excellent emerging market footprint with a very entrepreneurial culture. Looking for individual with pro active outlook who is a self starter and self motivated. The Bank has just made acquisitions of other Financial Institutions in Turkey, Boston and Argentina and so have global reach. The client’s business is not a mature one and so offers great growth potential. The Head of FX is ex JPM Chase and new Senior Mgmt hires ex UBS so the Bank is offering an opportunity to join Management with a proven track record.