Responsibilities
To achieve satisfactory result in terms of IR trading.
Formulate, drive and adapt new strategies and business initiatives.
To ensure the overall risk position of Interest Rate Trading is properly managed.
Management of interest rate risk, credit risk and liquidity risk (non-exhaustive) arisen from the Interest Rate Trading business and ensure the respective risk exposures are properly controlled
To ensure all operations are in compliance with rules and regulations
Requirements
University degree in Economics, Finance, Mathematics or a related discipline
Minimum 5 or more years of relevant experience in treasury management and trading in FX Rates and derivatives.
Stable and able to work under pressure
Good communication, interpersonal and analytical skills
Proficiency in both English and Chinese, fluency in Putonghua
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