Opportunity Description
Responsibilities
- Responsibility for cash and liquidity management in multiple currencies via dealing in swaps.
- Project and analyze short-term cash inflows and outflows to anticipate funding needs or excess liquidity
- Participate as a Primary Dealer in MAS money market operations
- Manage liquidity risk within limits (both internal and regulatory) while driving overall B/S optimization
- Keep abreast of market conditions and suggest trade ideas as appropriate
- Enhance B/S modelling and analysis to communicate and capture potential opportunities to senior management.
- Understand and monitor key P&L drivers for Treasury Markets. Suggest risk mitigation ideas and upgrade analysis/modelling
- Performs other duties that may be assigned by superiors from time to time, provided that these are not in conflict with control procedures related to original function.
- Attends product and market seminars...
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