Key Areas of Responsibilities
- Execute trades across FX, interest rates, bonds, repos, securities borrowing/lending (SBL), and precious metals, ensuring both pre- and post-trade compliance.
- Requite to monitor and trade during London and New York market hours.
- Conduct research and development of cross-currency (XCCY), interest rate, credit, precious metal, and repo trading strategies.
- Monitor and manage treasury trading books, as well as Group exposures in rates, FX, and credit.
- Contribute to the development of in-house trading platforms and algorithmic trading strategies.
- Facilitate trading arrangements with counterparties and oversee counterparty trading limits.
- Support the launch of new product initiatives.
- Liaise with operations teams to ensure smooth settlement processes.
- Participate in ISDA, GMRA, and GMSLA negotiations, and assist with collateral management.
Requirements
- 2–5 years experience in global markets trading, gained on either the buy side or sell side.
- Strong interest and passion for trading in global markets, with the ability to perform effectively under pressure.
- Solid understanding of credit, interest rate, FX, and precious metals products.
- Familiarity with ISDA, GMRA, and GMSLA documentation and processes.
- Proficient in Bloomberg Terminal, AIM, and TOM.
- Knowledge of Python and VBA programming is an advantage.
- Bachelors degree in quantitative finance, Economics, Engineering, or Mathematics.
- Excellent command of spoken and written English, Mandarin, and Cantonese.
- Strong communication skills; responsible, self-motivated, and eager to learn.