Responsible for developing and executing macro-based trading strategies across multiple markets. This role focuses on optimizing the regional portfolio through sophisticated hedging and proprietary trading techniques.
Macro Strategy Execution: Formulate and manage trading positions based on global macroeconomic trends, focusing on FX and interest rate derivatives.
Portfolio Optimization: Utilize advanced financial instruments to hedge regional market risks and enhance risk-adjusted returns.
Market Intelligence: Provide real-time analysis of global market volatility and its impact on the bank's overseas asset allocation.
Requirements :
Bachelor's Degree in Banking or equivalent.
Minimum 10 years of professional trading experience in Macro, FX, or Fixed Income markets.
Expertise in derivative instruments.
Experience in navigating multi-currency liquidity environments.
Technical Skills: Proficiency in global trading systems (e.g., Bloomberg, Reuters, Murex) and strong analytical capabilities
Proficient in spoken and written English/Chinese to liaise with Chinese speaking headquarter counterparties