Brief Summary
Join a dynamic team focused on managing and expanding financial instrument trading. This role is ideal for those with a strong background in treasury dealing and a passion for innovation in financial products.
Responsibilities
- Manage net open positions related to FX and other derivatives under the regulatory authorizations. Collaborate with Corporate Banking and Private Banking product teams to enhance and innovate financial offerings for clients. Provide competitive market pricing efficiently to the front office and oversee timely position management. Expand relationships with fixed income counterparties to bolster trading capabilities. Develop and implement treasury new-product policies and promote system enhancements for better efficiency. Liaise with headquarters, various departments, and financial institution counterparties to ensure seamless operations. Undertake additional responsibilities as assigned by Management and the Department Head.
Requirements
- Minimum degree in a relevant field. At least 3 years of experience in treasury dealing functions, including FX derivatives, interest derivatives, money market dealing, and fixed income investments. Familiarity with financial market booking systems, such as Refinitiv, Bloomberg, or MUREX. Strong relationships with financial institution counterparties and ability to identify new opportunities. Self-driven with a focus on developing new treasury products and leading process improvements. Completion of the Financial Markets Regulatory & Practices (FMRP) Exam. Completion of the CM-EIP exam or relevant diplomas that meet exemption criteria. Preferred: RES Modules 12B or 1A and 2B. Preferred: FX Market Training Certificate from CFETS.