Responsible for the development and coverage of global commodity portfolio, including corporates, financial institutions and hedge funds client base underlying assets include energy, precious and base metal, bulk, and agriculture products
Design the commodity product offering based on client's need
Provide commodity-linked OTC trading solutions to hedge funds and financial institutions clients
Provide commodity-linked risk management solutions to corporate clients
Internal communication with all relevant parties in the group, such as legal, risk, compliance, trading, to develop the commodity portfolio
Coordinate with other relevant business lines to provide cross-product services to commodity clients
Qualification:
Bachelor's degree or higher in Business, Finance, Economics or relevant
8-10 years of relevant work experience in Equity Derivatives gained from financial institutions
Good understanding of the financial markets and regulations
Detail-oriented, with strong analytical and quantitative skills
Excellent communication, negotiation, and analytical skills, with the ability to provide strategic insights to clients
Analytical and detail-oriented
Ability to thrive in a fast-paced, high-pressure environment
Good communication skills Proficiency in English & Chinese (including Putonghua)