Mashreq
Job Purpose Responsible for originating Treasury and Global Markets solutions for corporate clients, focusing on balance sheet, risk management, and transactional needs. The role is client-facing and revenue-driven, with accountability for developing client relationships, originating deals, and coordinating solution delivery in line with the Bank’s governance and risk standards. Key Result Areas • Originate treasury and markets-related business from corporate clients. • Drive revenues across FX, rates, deposits, and approved structured solutions. • Identify client balance sheet, liquidity, and risk management requirements. • Coordinate with Structuring, Trading, and Product teams to deliver client solutions. • Maintain strong senior-level relationships with corporate clients and coverage teams. • Ensure all transactions comply with suitability, credit, and risk frameworks. • Maintain accurate sales pipelines, forecasts, and management reporting. Knowledge, Skills & Experience: • 10+ years of experience in Corporate Banking Sales or Treasury Origination. • Strong understanding of corporate treasury and markets products. • Proven track record in client origination and revenue generation. • Strong commercial judgment and communication skills.
Minimum 10 years of experience in corporate banking sales or treasury origination, with a proven track record of success. Deep understanding of corporate treasury and markets products, including FX, derivatives, and other financial instruments. Strong commercial acumen and the ability to identify and capitalize on business opportunities. Excellent communication and interpersonal skills, with the ability to build and maintain strong client relationships. In-depth knowledge of the UAE corporate landscape, including industry trends and key players. Analytical and problem-solving skills, with the ability to interpret complex market data. Strong leadership and team management skills, with a track record of developing high-performing teams. Ability to work independently and manage multiple projects simultaneously. Relevant qualifications in finance, economics, or a related field are preferred. Fluency in English is mandatory, with proficiency in Arabic being an advantage.
Originate treasury and markets-related business from corporate clients. Drive revenues across FX, rates, deposits, and approved structured solutions. Identify client balance sheet, liquidity, and risk management requirements. Coordinate with Structuring, Trading, and Product teams to deliver client solutions. Maintain strong senior-level relationships with corporate clients and coverage teams. Ensure all transactions comply with suitability, credit, and risk frameworks. Maintain accurate sales pipelines, forecasts, and management reporting.
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