DescriptionStep into a pivotal role as a Vice President in the Treasury & Chief Investment Office (TCIO) where you will be at the forefront of managing the firms liquidity and financial risks. This is your chance to join a dynamic team executing FX deals and managing securities to drive our strategic priorities. Make a significant impact on our global operations and contribute to our culture of excellence and integrity. Embrace the opportunity to shape the future of our financial landscape.
As a Vice President in the TCIO you will develop and implement strategies to hedge non-USD currency risks optimize liquidity funding and manage securities portfolios for regulatory and investment purposes. You will collaborate with cross-functional teams to ensure compliance with regulatory requirements and support senior management in decision-making. Join us to play a crucial role in our mission and work in a team that values collaboration and innovation.
Job responsibilities
- Perform market analysis and execute FX deals to hedge non-USD foreign exchange exposure
- Manage daily funding and liquidity risk for the Singapore branch and related entities
- Manage collateral and reserves as part of IRRBB risk management and to meet local regulatory requirements
- Optimize balance sheet management and the firms balance sheet
- Maintain positions (including FXNOP BPV and liquidity profile) within assigned limits
- Execute funding trades such as money markets repo/reverse repo and FX with counterparties
- Submit daily pricing and transfer pricing rates for loans and deposits
- Estimate and report daily Profit & Loss
- Prepare and review liquidity-related reporting including collateral reports and stress tests
- Develop front-office projects such as balance sheet analysis and macroeconomic market updates and collaborate with internal functions and liaise with interbank counterparties and stakeholders
- Provide holiday backup for other APAC branches as necessary
Required qualifications capabilities and skills
- Bachelors degree in Finance Economics or other mathematical-related disciplines
- Minimum of 5 years of markets experience in APAC currency and fixed income funding liquidity and balance sheet management
- Experience in CNH FX and money markets
- Attention to detail and a good understanding of different types of risk in investment activities
- Strong sense of governance to ensure compliance with regulatory and internal requirements
- Good team worker with excellent interpersonal and communication skills
- Self-directed highly motivated and able to work independently
- Proficiency in Microsoft Excel PowerPoint Bloomberg and Reuters Eikon
Preferred qualifications capabilities and skills
- Knowledge in VBA and coding is a plus
Required Experience:
Chief