Treasury Trader job at I&M Bank Uganda
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Treasury Trader
2026-05-29T12:30:57+00:00
I&M Bank Uganda
https://cdn.greatugandajobs.com/jsjobsdata/data/employer/comp_11742/logo/download%20(1).png
FULL_TIME
HEAD OFFICE
Kampala
00256
Uganda
Banking
Accounting & Finance, Business Operations
UGX
MONTH
2026-06-12T17:00:00+00:00
8

Background information about the job or company (e.g., role context, company overview)

I&M Bank Uganda is a commercial bank headquartered at Kingdom Kampala with a growing regional presence. The Bank offers a wide range of commercial banking and financial products and services, and prides itself on introducing innovative products and services based on the needs of its customers. We are seeking to recruit a competent and highly motivated individual with extensive experience and abilities to support business growth in the following position:

JOB TITLE: TREASURY TRADER

LOCATION: HEAD OFFICE

REPORTS TO: HEAD OF TRADING

Job purpose:

This role is responsible for executing trades in fixed income securities, including bonds and other debt instruments, while ensuring compliance with the organization's risk management guidelines and approved risk appetite. The ideal candidate will demonstrate strong analytical abilities, a comprehensive understanding of the fixed income market, and the capacity to make swift, informed decisions under pressure.

Key Responsibilities

Trade Execution

Execute trades in fixed income securities and foreign exchange (Forex) markets, ensuring compliance with both market regulations and internal policies.

Optimize trading strategies to maximize returns while minimizing risk exposure.

Market Analysis and Decision-Making

Conduct in-depth analysis of market trends, economic indicators, and financial reports to provide actionable insights and drive informed trading decisions.

Stay abreast of global financial news, adjusting strategies in response to market shifts and changes in financial landscapes.

Relationship Management

Build and maintain strong relationships with interbank trading counterparties, clients, and other key stakeholders.

Collaborate with relationship managers to facilitate smooth execution of trades and enhance client satisfaction.

Pricing and Sales Support

Develop competitive pricing models for clients, aiming to grow the bank’s market share by offering optimal value.

Support the sales team with tailored pricing solutions that meet the needs of clients, while ensuring profitability for the bank.

Client-Focused Trading

Engage in direct trading with clients, including both fixed income securities and foreign exchange, delivering high-quality service and ensuring client satisfaction.

Identify and capitalize on trading opportunities that directly benefit both the bank and its clients.

Risk Management

Constantly monitor trading activities to ensure alignment with established risk management frameworks and organizational limits.

Regularly assess risk metrics, including Value at Risk (VaR), to safeguard the bank’s interests.

Personal Development and Training

Actively identify knowledge gaps and create a personal development plan, focusing on ongoing learning and professional growth.

Participate in industry events and continuous professional development opportunities.

Compliance and Audit

Ensure full adherence to I&M Bank’s internal policies, liquidity investment directives, regulatory frameworks and approved risk appetite.

Maintain an “Acceptable” audit rating by ensuring that all trades and activities comply with internal audit standards.

Industry Visibility

Represent the bank at industry events and forums, promoting the bank’s capabilities and maintaining a visible presence within the market.

Actively contribute to discussions on industry trends, regulatory changes, and market dynamics.

Educational Requirements

Bachelor’s degree in finance, Business, Accounting, Commerce, or a related field is required.

A master’s degree in a relevant field is an added advantage.

ACI Dealing Certificate is mandatory for this role.

Work experience

At least 4 years of working experience in a commercially oriented organization and 2 years’ experience at the trading desk.

Key Required Competencies & Skills

Strong analytical skills and attention to detail.

Problem-solving capabilities and the ability to thrive under pressure.

Proven sales management and customer relationship management (CRM) experience.

Expertise in market analysis and ability to anticipate market trends.

Strong communication and collaboration skills to effectively interact with cross-functional teams.

Note:

Deadline for this job posting is Friday 12th June 2026 at 5:00pm and only shortlisted candidates will be contacted.

  • Execute trades in fixed income securities and foreign exchange (Forex) markets, ensuring compliance with both market regulations and internal policies.
  • Optimize trading strategies to maximize returns while minimizing risk exposure.
  • Conduct in-depth analysis of market trends, economic indicators, and financial reports to provide actionable insights and drive informed trading decisions.
  • Stay abreast of global financial news, adjusting strategies in response to market shifts and changes in financial landscapes.
  • Build and maintain strong relationships with interbank trading counterparties, clients, and other key stakeholders.
  • Collaborate with relationship managers to facilitate smooth execution of trades and enhance client satisfaction.
  • Develop competitive pricing models for clients, aiming to grow the bank’s market share by offering optimal value.
  • Support the sales team with tailored pricing solutions that meet the needs of clients, while ensuring profitability for the bank.
  • Engage in direct trading with clients, including both fixed income securities and foreign exchange, delivering high-quality service and ensuring client satisfaction.
  • Identify and capitalize on trading opportunities that directly benefit both the bank and its clients.
  • Constantly monitor trading activities to ensure alignment with established risk management frameworks and organizational limits.
  • Regularly assess risk metrics, including Value at Risk (VaR), to safeguard the bank’s interests.
  • Actively identify knowledge gaps and create a personal development plan, focusing on ongoing learning and professional growth.
  • Participate in industry events and continuous professional development opportunities.
  • Ensure full adherence to I&M Bank’s internal policies, liquidity investment directives, regulatory frameworks and approved risk appetite.
  • Maintain an “Acceptable” audit rating by ensuring that all trades and activities comply with internal audit standards.
  • Represent the bank at industry events and forums, promoting the bank’s capabilities and maintaining a visible presence within the market.
  • Actively contribute to discussions on industry trends, regulatory changes, and market dynamics.
  • Strong analytical skills and attention to detail.
  • Problem-solving capabilities and the ability to thrive under pressure.
  • Proven sales management and customer relationship management (CRM) experience.
  • Expertise in market analysis and ability to anticipate market trends.
  • Strong communication and collaboration skills to effectively interact with cross-functional teams.
  • Bachelor’s degree in finance, Business, Accounting, Commerce, or a related field is required.
  • A master’s degree in a relevant field is an added advantage.
  • ACI Dealing Certificate is mandatory for this role.
bachelor degree
12
JOB-6a198701382db

Vacancy title:
Treasury Trader

[Type: FULL_TIME, Industry: Banking, Category: Accounting & Finance, Business Operations]

Jobs at:
I&M Bank Uganda

Deadline of this Job:
Friday, June 12 2026

Duty Station:
HEAD OFFICE | Kampala

Summary
Date Posted: Friday, May 29 2026, Base Salary: Not Disclosed

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JOB DETAILS:

Background information about the job or company (e.g., role context, company overview)

I&M Bank Uganda is a commercial bank headquartered at Kingdom Kampala with a growing regional presence. The Bank offers a wide range of commercial banking and financial products and services, and prides itself on introducing innovative products and services based on the needs of its customers. We are seeking to recruit a competent and highly motivated individual with extensive experience and abilities to support business growth in the following position:

JOB TITLE: TREASURY TRADER

LOCATION: HEAD OFFICE

REPORTS TO: HEAD OF TRADING

Job purpose:

This role is responsible for executing trades in fixed income securities, including bonds and other debt instruments, while ensuring compliance with the organization's risk management guidelines and approved risk appetite. The ideal candidate will demonstrate strong analytical abilities, a comprehensive understanding of the fixed income market, and the capacity to make swift, informed decisions under pressure.

Key Responsibilities

Trade Execution

Execute trades in fixed income securities and foreign exchange (Forex) markets, ensuring compliance with both market regulations and internal policies.

Optimize trading strategies to maximize returns while minimizing risk exposure.

Market Analysis and Decision-Making

Conduct in-depth analysis of market trends, economic indicators, and financial reports to provide actionable insights and drive informed trading decisions.

Stay abreast of global financial news, adjusting strategies in response to market shifts and changes in financial landscapes.

Relationship Management

Build and maintain strong relationships with interbank trading counterparties, clients, and other key stakeholders.

Collaborate with relationship managers to facilitate smooth execution of trades and enhance client satisfaction.

Pricing and Sales Support

Develop competitive pricing models for clients, aiming to grow the bank’s market share by offering optimal value.

Support the sales team with tailored pricing solutions that meet the needs of clients, while ensuring profitability for the bank.

Client-Focused Trading

Engage in direct trading with clients, including both fixed income securities and foreign exchange, delivering high-quality service and ensuring client satisfaction.

Identify and capitalize on trading opportunities that directly benefit both the bank and its clients.

Risk Management

Constantly monitor trading activities to ensure alignment with established risk management frameworks and organizational limits.

Regularly assess risk metrics, including Value at Risk (VaR), to safeguard the bank’s interests.

Personal Development and Training

Actively identify knowledge gaps and create a personal development plan, focusing on ongoing learning and professional growth.

Participate in industry events and continuous professional development opportunities.

Compliance and Audit

Ensure full adherence to I&M Bank’s internal policies, liquidity investment directives, regulatory frameworks and approved risk appetite.

Maintain an “Acceptable” audit rating by ensuring that all trades and activities comply with internal audit standards.

Industry Visibility

Represent the bank at industry events and forums, promoting the bank’s capabilities and maintaining a visible presence within the market.

Actively contribute to discussions on industry trends, regulatory changes, and market dynamics.

Educational Requirements

Bachelor’s degree in finance, Business, Accounting, Commerce, or a related field is required.

A master’s degree in a relevant field is an added advantage.

ACI Dealing Certificate is mandatory for this role.

Work experience

At least 4 years of working experience in a commercially oriented organization and 2 years’ experience at the trading desk.

Key Required Competencies & Skills

Strong analytical skills and attention to detail.

Problem-solving capabilities and the ability to thrive under pressure.

Proven sales management and customer relationship management (CRM) experience.

Expertise in market analysis and ability to anticipate market trends.

Strong communication and collaboration skills to effectively interact with cross-functional teams.

Note:

Deadline for this job posting is Friday 12th June 2026 at 5:00pm and only shortlisted candidates will be contacted.

Work Hours: 8

Experience in Months: 12

Level of Education: bachelor degree

Job application procedure

Deadline for this job posting is Friday 12th June 2026 at 5:00pm and only shortlisted candidates will be contacted.

Application Link:Click Here to Apply Now

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Job Info
Job Category: Accounting/ Finance jobs in Uganda
Job Type: Full-time
Deadline of this Job: Friday, June 12 2026
Duty Station: HEAD OFFICE | Kampala
Posted: 29-05-2026
No of Jobs: 1
Start Publishing: 29-05-2026
Stop Publishing (Put date of 2030): 10-10-2076
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