DescriptionPrimary Objective:
To provide pricing support to clients, financial market counterparties and internal dependencies.
To assist in the management of derivative portfolios risks .
To generate trading income.Key Responsibilities:
Portfolio Risk Management
Execute trading opportunities in the global financial market sectors
To Generate trading gains by undertaking calculated risks
Facilitate problem solving to ensure smoothen operational flow
Provide technical advice to Sales teamRequirementsRequirements:
Bachelor Degree - Any related field(s).Required 5 to 7years of derivatives portfolio management experience and operational processes at an establish financial services institution.Possess trading skills and understand of Treasury operation and Derivatives market & products.
Possess good analytical and a team player.BenefitsDental, Education support, Miscellaneous allowance, Medical, Loans, Sports (e.g. Gym), Parking, Vision, Regular hours, Mondays - Fridays, Casual Business Wear, Performance Based Rewards
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