TREASURY TRADER

Job Summary

You will execute and manage FX, interest rate derivatives, and fixed-income trading activities while supporting risk management, client engagement, and operational workflows to drive business growth and compliance.

Responsibilities

  • Execute trading activities in foreign exchange (FX), interest rate derivatives, and fixed-income instruments to optimize portfolio performance
  • Manage FX and derivatives net open positions within established risk limits and internal policies to mitigate financial exposure
  • Provide timely, competitive, and accurate market quotes to clients and front office teams, actively managing trading positions in response to market movements
  • Monitor global financial markets and conduct research and analysis to inform trading strategies and investment decisions
  • Deliver day-to-day operational support to ensure efficient departmental workflows and accurate transaction processing
  • Prepare periodic reports, presentations, and documentation for the Singapore Branch and Head Office with accuracy and timeliness
  • Collaborate with cross-functional teams to ensure compliance with risk management frameworks, internal controls, and regulatory requirements
  • Support client marketing initiatives by providing market insights, analysis, and relevant product information in partnership with front office teams
  • Attend client meetings to deliver market updates and product insights, enhancing client engagement and supporting business development
  • Provide administrative support and perform additional duties as assigned by the Department Head and Management

Required competencies and certifications

  • Relevant MAS licenses (FMRP, CM-EIP, RES 1A/2B)
  • Proficient in trading platforms such as Refinitiv and Bloomberg
  • Strong discipline in execution and risk management

Preferred competencies and qualifications

  • Recognized Bachelor’s degree or above, preferably in Economics, Finance, Statistics, or related disciplines
  • Minimum 2–3 years of relevant experience in treasury dealing functions, including FX derivatives, interest rate derivatives, and fixed income investments
  • Good product knowledge in FX (Spot, Forwards, Swaps, NDF, and options); familiarity with rates products is a plus
  • Strong understanding of FX markets, macro drivers, and market microstructure
  • Proven track record in FX sales and client relationship management is a plus
  • Effective communication and coordination skills to liaise with clients, Head Office, internal departments, and external counterparties
  • Strong proficiency in both written and spoken English and Mandarin to engage effectively with stakeholders