Job description
Key Responsibilities
- Responsible for supporting trading FX and Rates products in accordance with established risk management procedures and risk parameters
- Responsible for helping senior traders as well as providing pricing in CCS, IRS, FX and bond for customers
Complément
Term (in months)
12 months (extendable up to 2 years)
Application criteria
Starting date
25/11/2024
Duration
12months
Position with management
No
Minimum level of study
Bachelor Degree / BSc Degree or equivalent
Training / Specialization
Minimal education level
- Bachelor’s degree
- Major: Not limited; Business Administration, Economics, Financial Engineering or relevant field of study preferred
- With less than 12 months of full-time experience
Minimum experience level
0-2 years
Compétences recherchées
- Good knowledge on Capital Market products (FX, bond, interest rate & currency swap deal etc.) is preferred
- Excellent English communication (both oral and written) skill
- Proficient in Microsoft Office and Mac
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