Job Description
Responsibilities:
- Understand and assess clients’ FX trading requirements when they contact the trading desk.
- Provide pricing and structure a broad range of treasury solutions—including Foreign Exchange, FX Options, Commodities, Structured Deposits, Structured Products, and other Wealth Products—for Direct Access Clients.
- Ensure all client orders are executed in accordance with established risk control frameworks and desk-level metrics.
- Stay updated on market trends, currency developments, and new product offerings to provide informed solutions to clients.
- Perform regulated activities in full compliance with the Bank’s policies, standards, and procedures, as well as all regulatory requirements.
- Contribute to system and process enhancement initiatives through active participation in project work.
Requirements
- Degree in Business, Economics, Finance or related discipline with at least 5 years of experience specializing in currency trading and execution related role
- Highly motivated individual who can work well in a team
- Results-oriented individual who is able to deal with pressure
- Willingness to learn with positive growth attitude with organisation
- Excellent communication and interpersonal skills
- Possess FMRP, CACS Certifications 1 & 2
- This role primarily supports the London shift, with occasional flexibility to support the US shift when required.