Job Description:
1,Work closely with corporate and financial institutions for cross-selling FX & derivatives for clients.
2,Identify and on board new FX and treasury opportunities.
3,Keep abreast of regulations and cross check rules prior to transaction execution.
4,Cash flow and liquidity management for the Bank, e.g., formulation of funding strategies.
5,Develop and maintain relationship with the Bank's counterparties to optimise funding source.
6,Analyse potential primary and secondary credit and government bonds.
7,Study varying market trend and analyse current market conditions.
8,Other projects / ad-hoc duties as assigned by the supervisor.
Job Requirements:
1. Approximately 8 years of relevant experience in the global markets business.
2. CMFAS Module 1B & M5 would be preferred.
3. CFA qualification is an added advantage.
4. Proficiency with Bloomberg or Reuters.
5. Effectively bilingual in English and Chinese so as to communicate effectively with our China counterpart and Chinese-speaking customers.