The day typically day starts at 7:30am; I come in and get up to speed on what’s been going on in world markets – this has been ingrained from my days in FX Trading – and investigate any customer emails or queries so I can be up-to-speed before the day begins.
The team have a morning huddle to briefly discuss any significant upcoming deals and then we get down to work. We deal with customers’ treasury needs which can be everything from FX and Cash Deposits to Interest Rate and Fuel hedging.
What I like most about my job is the atmosphere in the office. It's loud and busy and there are a variety of things going on at all times.
The biggest challenge is the ever-changing, dynamic environment; relationship management is the cornerstone of our business but knowledge of world markets, how the different products work, regulation and documentation all provide an opportunity to develop and enhance my skill set.
In eight years I’ve never got used to the early mornings but for energetic people who are looking to broaden their knowledge, this is a great environment to work in!
If you are interested in hearing more about the Corporate Banking and Treasury Services community, enter your email below and keep up to date with the latest jobs and content.
Bank of Ireland is regulated by the Central Bank of Ireland. In the UK, Bank of Ireland is authorised by the Central Bank of Ireland and the Prudential Regulation Authority and subject to limited regulation by the Financial Conduct Authority and Prudential Regulation Authority. Details about the extent of our authorisation and regulation by the Prudential Regulation Authority, and regulation by the Financial Conduct Authority are available from us on request. By proceeding any further you will be deemed to have read our Terms and Conditions and Privacy Statement.
© 2018 Bank of Ireland
This site uses technology such as cookies to give you a personalized experience. Click below to consent to the use of this technology.