Execute FX SPOT risk taking, position management, and profit generating activities.
Responsibilities:
- Execute FX SPOT risk taking, position management, and profit generating activities.
- Experienced in Asian (ASN) Non-Deliverable Forwards (NDF) position management is a significant plus.
- Independently manage a trading book, assume calculated risks, and collaborate effectively with the sales and marketing teams on price quotation, market information, and strategy recommendation.
- Assist in daily trading operation works.
Requirements:
- University graduate in Banking / Finance or related disciplines.
- Minimum of 5+ years or above relevant trading experience is preferred.
- Teamwork, discipline, & aggressiveness (e.g., proactive risk management and strong decision-making skills) are a must.
- Fluent in spoken and written English and Chinese fluent in Putonghua (Mandarin) is a plus.
- Member of the Treasury Markets Association (TMA) or eligible for immediate membership.