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| POSITION DESCRIPTION | BANKING & FINANCE INDUSTRIES OCTOBER 2008 |
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Capital Markets Manager |
| Position Code: | 150 | | Career Level: | 5 |
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Responsible for
Managing medium-to-long term investments such as semi government and local government securities, debentures, bonds and unsecured notes. |
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Reports To
Treasurer, Divisional Manager - Funds Management. |
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Supervises
Dealers. |
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Main Activities
Formulating daily (medium-to-long term) strategy for shares and bonds.
Monitoring Market transactions.
Managing the exchange settlement account and exchange settlement funds.
Monitoring the organisation's medium-to-long term liquidity position and medium-to-long term investments.
Managing a specialist team through all aspects of recruitment, workplace training, performance assessment and counselling.
Analysing and reporting frequently on investment performance to budget and strategy.
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Key Skills
Managerial ability plus sound and proven investment ability.
Ability to work accurately under pressure to meet deadlines and to deal with complex financial information quickly.
Highly numerate and able to work to tight deadlines.
Possesses good inter-personal skills.
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Internal Contacts
Support Specialists, Economists, Analysts. |
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External Contacts
Other Financial Organisations, Merchant Banks, External Advisers, Brokers, Consultants. |
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Typical Experience
3 - 5 years experience in Corporate Treasury, potentially coupled with relevant tertiary qualification and may have a back ground in General Finance or Accounting. |
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Other Comments
Also referred to as the long-term debt market and fixed interest market. |
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