Responsible for managing the firm’s liquidity, funding and optimize our balance sheet across various currencies during Asia hours
Job Summary
Responsible for managing the firm’s liquidity, funding and optimize our balance sheet across various currencies during Asia hours.
You will need to constantly assess market risk of our book and executing trades such as money market, repo, FX spot, FX swap and interest rate swaps with counterparties.
This role offers a fantastic opportunity to engage with senior stakeholders across Asia businesses and contribute to both Asia and Global Treasury initiatives.
Matching Summary
Responsible for managing the firm’s liquidity, funding and optimize our balance sheet across various currencies during Asia hours.
Skills & Requirements
Must-have
Financial instrument trading
Market analysis and strategy
Risk management and monitoring
Unsecured funding in IMM
Structural Hedges for IRRBB
Execution of money market, repo, FX spot, FX swap, interest rate swaps