6 дней назад
Trader, Liquidity Management & Money Markets
Мэтч & Сопровод
Для мэтча с этой вакансией нужен Plus
Описание вакансии
Текст:
TL;DR
Trader, Liquidity Management & Money Markets (Treasury/Financial Markets): Managing daily cash, FX, funding, and liquidity positions for ING entities across Singapore, Hong Kong, and Tokyo with an accent on regulatory compliance, balance sheet management, and money market execution. Focus on forecasting liquidity requirements, executing funding and FX transactions, monitoring risk limits, and improving treasury processes.
Location: Singapore
Company
ING Wholesale Banking operates its regional Asia Pacific headquarters in Singapore and provides tailor-made banking solutions to corporate clients.
What you will do
- Manage daily cash and liquidity positions across multiple currencies for Singapore, Hong Kong, and Tokyo.
- Price and execute internal and external funding, money market, FX, and interest rate derivative transactions.
- Monitor short- and medium-term liquidity requirements, regulatory limits, FX positions, and interest rate risks.
- Review treasury, liquidity, and risk reports, escalating material observations where appropriate.
- Collaborate with Finance, Risk Management, business stakeholders, APAC Group Treasury teams, and the global Liquidity Management and Money Market team.
- Contribute to treasury process improvements, management reporting, regulatory analysis, and ad hoc projects.
Requirements
- Degree in finance, commerce, economics, or a related discipline.
- At least 3 years of professional experience.
- Thorough proficiency in Excel, including VBA.
- Strong communication skills with an analytical and holistic mindset.
- High initiative and motivation, with a diligent, committed, independent, and collaborative approach.
Nice to have
- Strong knowledge of financial markets and the use of FX and money market products in balance sheet risk management.
- Experience with Bloomberg.
- Relevant experience in Treasury or Markets.
Culture & Benefits
- Work with regional and global treasury teams across the Asia Pacific region.
- Engage with external regulatory bodies including MAS, HKMA, and BOJ.
- Follow ING policies, complete mandatory training, and contribute to an open and transparent compliance culture.
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