This is a hands-on and diverse role for a motivated Financial Markets professional to continue their experience in treasury dealing. You will be trained and supported by a team of experienced Treasury Dealers in Corporate & Institutional Banking.
Main Responsibilities:
Responsible for the Branch daily funding and investing needs through financial activities.
Managing the Branch liquidity risk related risk areas to the pre-set level.
Related reports preparation.
Maximize Treasury profits.
Any ad hoc duties required by Treasury team or the Branch Management.
Skill and Experience:
Minimum of three (3) years in financial dealing industry.
Familiar with Financial Dealing activities (MMKT, short term CD/CP issuance, FX (Spot, FWD, Swap), some derivatives (IRS, Options), and Fixed income products).
Familiar with Market Risk management concepts.
Familiar with dealing terminal use (Reuters/ Bloomberg / others); understanding Kondor+ (Misys) is a plus.
Familiar with related FI compliance issues.
Proficient in using EXCEL and coding (SQL and VBA).
Good time management, working to tight deadlines and priority setting are key skills required
Fluent in English and Mandarin writing and communication.
For further information on this role or to confidentially apply, please contact Eugena Gong on 02 8227 9200 or apply directly via the Apply for this job button. Only WORD FORMAT CVs will be accepted.
Ethos BeathChapman is partnering with a leading global financial technology organisation and major provider of software-enabled services to the financial services industry. We are seeking an except...
We empower exceptional people to deliver exceptional outcomes.
At EBC, we've built a culture of autonomy and freedom where smart, passionate and entrepreneurial people who aspire to the exceptional can truly thrive. If you're a high-performer looking for a space to contribute and belong, come on over and let's chat.