The Treasury team provides pricing and execution solutions for our clients from corporate, institutional and wealth management portfolio.
Responsibilities
- Perform daily trading , dealing and risk management of financial products
( FX, Options, Money Market, IRS, Derivatives) - Develop new business & new treasury product
- Marketing treasury products to clients
- Prepare daily , weekly and monthly reports
Requirements
- Degree with knowledge in interest rate swap,option,foreign exchange and derivative.
- 3-5 years of trading experience in foreign exchange and derivative business
- Possess the Financial Markets Regulatory & Practices (FMRP) Exam , CMFAS Modules 1A or 1B.
- Motivated to develop new business
- Risk awareness mindset
Interested applicants, please email a copy of resume to jene@aeon-search.com for a discussion.