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.