DescriptionAnalyst – Global Markets Corporate Sales – Algeria Some careers grow faster than others. If you’re looking for a career that will give you plenty of opportunities to develop, join HSBC and your future will be rich with potential. Whether you want a career that could take you to the top, or simply take you in an exciting new direction, HSBC offers opportunities, support and rewards that will take you further. HSBC Global Banking and Markets is an emerging markets-led, financing-focused business that provides investment and financial solutions. Through our international network, we connect emerging and mature markets, covering key growth areas. We partner with our corporate, government and institutional clients to help them achieve consistent, long-term performance. Our products and services include advisory, financing, prime services, research and analysis, securities services, trading and sales and transaction banking. We are currently seeking an ambitious individual to join our Global Banking and Markets team, working together with colleagues to define, manage and achieve divisional business targets. In this role, you will: Assist and manage the daily administrative aspect of the corporate Sales Desk which includes but not limited to FX flow business, FX MI generation and client servicing for the Retail, Commercial and Global banking clients. Develop, maintain and deploy high set of sales and presentation skills while dealing with both internal and external customers Quote FX rates in all spots, forwards to corporate sales desk and branches. Attend for the daily FX flow generated from our retail and corporate activities reported to Markets by customers. Daily monitoring of limits and strictly adhere to the rules and regulations as per the FIM and ensure to all the positions are within the various limits assigned, ensure a credit check is done prior to dealing with any counter party. Work closely with the corporate Sales desk and contribute towards achieving the FX sales Target. Assist the management in producing all management reports which include Profitability reports, reconciliation reports, market updates etc. Prepare Bank Treasury FX/ interest rates on a daily basis. Report daily profit & loss figures arising out of market operations. Be alert & updated with market events & upcoming events, particularly the FX news QualificationsTo be successful in the role, you should meet the following requirements: Degree in Financial / Accounting / Economics Good numerical and analytical skills Good excel skills Knowledge of Treasury products Good knowledge of banking operations and credit management Logical, numerate with excellent communication skills Good command over English language Knowledge/understanding of CB of Algeria regulations For further details and application information please visit our careers site, searching under reference number 0000G1O9 You’ll achieve more when you join HSBC. HSBC is committed to building a culture where all employees are valued, respected and opinions count. We take pride in providing a workplace that fosters continuous professional development, flexible working and opportunities to grow within an inclusive and diverse environment. Personal data held by the Bank relating to employment applications will be used in accordance with our Privacy Statement, which is available on our website.