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Job Description

Role Purpose:

Deliver high quality service to local corporate clients and financial institutions by managing and trading fixed income flows. All the while adhering to internal and external risk limits and enhancing profitability.

Responsibilities

  • Delivers the expected profitability.
  • Quotes fixed income rates and derivatives prices to qualified external clients and internal departments as needed.
  • Works closely with Relationship Managers for financial markets product knowledge and product promotion.
  • Monitors and analyzes interest rate trends based on technical and fundamental analysis.
  • Ensures that the concerned units and management are aware with latest developments in the fixed income markets and regulations.
  • Makes market review and commentaries on interest rates and yield curves.
  • Innovates new financial markets products based on client needs and regulatory requirements.
  • Inputs transactions in Murex, Xpads any applicable system.
  • Maintains and updates the manual and standard operating procedure (SOP) for financial markets business as required.
  • Conducts training sessions as needed.
  • Completes internal & external daily/monthly/quarterly reports on time.
  • Ensures compliance to limits and regulatory requirements.
  • Establish and maintain good rapport with current and potential counterparties.
  • Accomplishes other assignments from the Department Head.

Qualifications

  • Graduate of any 4 year course.
  • Passed the Treasury Certification Program.
  • Passed the Certification Examination for Fixed Income Salesmen (CEFIMS).
  • Familiar with market systems such as Bloomberg and Reuters.
  • At least 5-year experience in Treasury and/or trading functions.

More Info

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Job ID: 145244875

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