Role:
- Conduct research on macroeconomic and financial issues, particularly in relation to interest rates and FX markets.
- Manage trading risks to ensure these are within the local regulations and internal control.
- Continuously improve models, systems, and platforms.
- Manage FX forwards position accurately.
- Cooperate with Short Term Desk to manage the Local Liquidity Position.
- Accomplish trading mandate.
- Act ethically at all times.
Requirements:
- Bachelor's and Master's Degree in Finance, Economics, Mathematics, Engineering, Business, Accounting, Education, Technical, Business/Administration, MBA.
- Relevant experience in executing and managing Foreign Exchange trades, ensuring all trading is executed and processed accurately & according to specific manager requirements, performing process improvement projects to increase effectiveness, and keeping Portfolio Managers up to date with market movements.
- Desired skills include knowledge of FX products such as spots, options, etc.
- Licenses or certifications required by the position: CFA, FRM, JSDA, CMT