Vp To Ed, Asset And Liability Management, Global Markets

OCBC

Singapore
Macro-driven strategies
Asset allocation
Risk management
The role is responsible for managing the bank’s treasury investment portfolio, with a focus on macro-driven strategies across rates, FX, credit, and liquidity instruments

Job Summary

  • The role is responsible for managing the bank’s treasury investment portfolio, with a focus on macro-driven strategies across rates, FX, credit, and liquidity instruments.
  • The candidate will develop macro views, execute trades, manage funding and liquidity positions, and collaborate with risk, finance, and senior management to support the bank’s profitability and capital objectives.
  • We offer a suite of holistic, flexible benefits to suit every lifestyle and industry-leading learning and professional development opportunities.

Matching Summary

The role is responsible for managing the bank’s treasury investment portfolio, with a focus on macro-driven strategies across rates, FX, credit, and liquidity instruments.

Skills & Requirements

Must-have

  • Macro-driven strategies
  • Asset allocation
  • Risk management
  • Balance sheet optimization
  • Performance monitoring
  • Develop macro views
  • Execute trades

Nice-to-have

  • Future-ready learning organisation
  • Sustainable future
  • Friendly, supportive teams
  • Vibrant, future-ready career

Key Requirements

  • 10-15 years of experience
  • CFA
  • Degree in finance, economics, or related field

Work Rights

Not specified

Tailored Resume

Cover Letter