- Treasury Dealing, Rates Fixing
- Foreign Bank in Singapore
- FMRP certified advantageous
- Central location with attraction remuneration
Description:
- Execution of FX/MM deals
- Rates (FX/ IR/MM) Quotation and Fixing
- Execution of security deals
- Monitor Risk exposure in FX exposure, counterparty limit exposure/ cash flow
- Advise institutional clients on FX and macroeconomic trends, FX products, balance sheet hedging, etc.
Requirements
- Degree qualifications
- 3 - 6 years of relevant treasury dealing experience in a Corporate Banking/ Institutional Banking environment (not Consumer/ Retail customers)
- FMRP certificate advantageous
- Keen interest to grow a career as a Treasury Dealer in a foreign wholesale banking environment
R1108900