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Foreign Exchange, Treasury, Fixed Income, Commodity Trading & Sales Professional

Arezki Kacer has more than 25 years of trading, sales and risk management experience for major domestic and international investment banks, trading boutiques and  corporate's treasury. He has experience as a derivatives trader and sales in the Foreign Exchange, Treasury, Interest Rates and global Commodity markets. He has been a local floor options and futures trader on the pit of the 10 years French Notional Bonds and Pibor at the Matif Exchange for Goldman Sachs in Paris in the early 90's as training period student. He has served as Head of FX Trading & Sales within prime names Investment Bank and he has been active as experienced Trading Leader on both global and domestic basis across portfolios comprised of financial and physical delivery energy products (oil, power, natural gas) and global commodities assets (Gold, Silver, Platinum..).He has been advisor in the development of FX and Commodity derivatives businesses, as well as counsel on financial markets transaction specific engagements for CMA CGM. He has been responsible for front, middle and back office oversight for a large integrated physical and financial trading company. He has expertise in the design and implementation of customized trading and sales solutions in integrated Foreign Exchange, Treasury, Interest Rates and Commodity portfolios, as well as transactional structuring for physical assets with and without embedded derivatives. He is a leader in the asset optimization arena for global assets and has an in-depth, practical knowledge of complex derivatives structures across multi-layered portfolios in the Foreign Exchange, Treasury, Interest Rates and Commodity markets sector.

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