Work closely with finance treasury team, commodity trading team and risk management team to understand and design the working procedure to manage FX and Interest Rate risks.
Generate profit for company under active hedging policy: trading in FX spots, swaps, forwards, IRS, options and other structured products.
Provide hedging strategies and ideas to management based on analysis of economic data, regulatory changes and market trends.
Requirements
Bachelor's degree in Finance, Economics, Mathematics, or a related discipline.
Minimum 5-8 years of relevant experience in FX trading, preferably within a commodities trading house or banks.
Strong hands-on experience across FX instruments, including spot, forwards, swaps, and options familiarity with interest rate products (e.g., IRS) and structured solutions.
Proven track record in active hedging and P&L generation, with the ability to balance risk management objectives and profit optimization.
Experience working closely with treasury, risk, and trading teams, with a good understanding of commodity-linked FX exposures being a strong advantage.
Strong quantitative and analytical skills.
Excellent communication skills, with the ability to clearly articulate market views, hedging strategies, and risk implications to Management.
High level of discipline, risk awareness, and ability to perform under pressure in a fast-paced trading environment.