Responsibility
• To work with other traders, sales and related parties to develop S&T business
• To lead interactive technical and market discussion with sales, business promotion and other related departments
• To price FX and FWD as requested by sales team and Interbank counterparties
• To manage and execute FX position
• To hedge FX exposure
• To manage and control nostro a/c
• To utmost maintain the professional conduct
• To comply with internal risk management policy and external regulatory framework
• To learn how to trade a broad and complex set of products (models, operations and legal framework)
• To maximize profits by effective hedge operations for customer transactions
Qualification
• Good interpersonal and high teamwork skills
• Possess proficient knowledge of banking products and familiar with regulatory requirement
• A minimum of bachelor’s degree in Banking, Finance, Economics or other related fields
• 5+ years experiences in related field, preferred from Treasury or Global markets trading functions
• Fluent in English written and verbal communication skills
• Possesses necessary licenses is a plus ( Treasury dealer certificate)
• Good skills for MS offices advanced/Excel VBA.