Treasury & Chief Investment Office is responsible for delivering on the firm’s strategic priorities across liquidity management as well as management of structural interest rate and foreign exchange risks. In addition, it manages the wholesale funding and capital raising activities for the firm, as well as the daily cash position. The group oversees the funds transfer pricing policies, and works closely with the various lines of business in establishing the principles of how funds are valued across the firm.
As a Treasury & Chief Investment Office – Vice President in Corporate Functions, you will be based in Singapore and primarily responsible for execution of liquidity funding trades as part of liquidity risk management activities, management of securities for regulatory and investment books, performing Balance Sheet analytics and review, and execution of FX deals to hedge the Firm’s non-USD foreign exchange risks. This includes booking of trades necessary, production of various reporting, liaising with back and middle office teams regarding the cash position and assisting in other operational issues. In this position, you will also assist in providing periodical market update and ad hoc reports as necessary to participate and support senior managers’ decision making in portfolio management.
Job Responsibilities
• Manage daily funding and liquidity risk management for Singapore branch and related entities, including local currency, USD and other active currency nostros within assigned limits
• Manage securities portfolio for the purpose of liquidity, regulatory and structural interest rate risk management
• Execute trades such as money markets, repo/reverse repo and FX with both internal and external counterparty
• Prepare and review of other liquidity related reporting, including collateral report, stress test, daily market commentary, etc.
• Participate in front-office projects such as balance sheet analysis, quarterly Structural Interest Rate Risk (SIRR) review and FX quarterly write-up
• Collaborate with internal Treasury & Chief Investment Office functions and other firmwide teams such as Line of Business partners, Singapore LEC and local compliance, as well as interbank counterparties
• Provide holiday back up support for other APAC branches as necessary
Required qualifications, capabilities, and skills
• Bachelor’s degree in Accounting, Finance or other related disciplines
• Minimum of 7 years of experience in APAC regional currency and fixed income markets, funding, liquidity and balance sheet management
• Attention to details and good understanding in different types of risk in investment activities
• Strong sense of governance to ensure compliance with regulatory and internal requirements
Preferred qualifications, capabilities, and skills
• Good team worker, excellent interpersonal and communication skills
• Self-directed, highly motivated and able to work independently
• Good proficiency in Microsoft Excel, Power Point, Bloomberg and Reuters Eikon; knowledge in VBA and coding would be a plus
To apply for this position, please use the following URL:
https://ars2.equest.com/?response_id=7373aec808fe2ac892ac51fef6668dfc