Search Results
FX IT – Application Support Team Lead (Trader Facing , Wallstreet System) recruitment
Deputy to Regional FX IT Support Manager. Support for voice and electronic FX Cash and Options Trading within Asia Pacific region, as part of the Global FX IT team. The successful candidate will have previous experience of team leadership and be able to manage a major incident to resolution. He or she will be working closely with traders, middle office staff, operations and product control in resolving business related issue within the support team. The candidate will be expected to communicate effectively with traders and manage that relationship.This is a high profile role offering an excellent Read more […]
Vice President
Vice President / Audit Manager – Fixed Income and Currencies (FIC) AuditCity of LondonUp to £110,000 + benefits + competitive bonusA world leading Investment Bank with widespread global operations is currently in the market for a highly experienced Internal Audit Manager to join their Fixed Income and Currencies (FIC) audit team at the Vice President / Audit Manager level. The audit division in this bank has grown significantly over the past few years due to ever-growing regulatory pressure. This bank has a reputation for offering lots of development opportunities to help enhance your career, Read more […]
Director, Benchmark Submissions, Project Manager
Title Benchmark submissions – Project Manager Description Treasury Operations is responsible for business development activities to enable Treasury’s trading functions as well as for the submission of benchmark rates. As part of the Bank Treasury Operations, the benchmark submissions group is responsible for the timely and accurate submission of all Enhanced Risk Benchmark Submissions within UBS. Compliance with Regulatory and Bank policies and procedures are a key mandate instrumental to the benchmark setting process and the long-term commitment of UBS to the continued integrity of all Benchmarks Read more […]
Associate Structurer
Responsibility:1. Explore potential opportunities in the financial market (China-centric)2. Structure products based on current and potential market opportunities3. Lead the review and approval process on structured products4. Customer facing with banks and corporates5. Lead and review documentations on on-going transactionsRequirements:1. Understanding of the financial markets and knowledge on corporate finance;2. Good English written and oral communication skills;3. Basic understanding of trade finance money market and FX markets;4. Innovative thinking, logical thought process and entrepenurial Read more […]
Team Leader Investigations (Market Operations)
CAN you provide day to day coordination of resources and operational processes related to the delivery of products and/or services.If you CAN then read on-The Market Operations (MO) is responsible for the independent operational processes for Institutional Banking and Markets, Group Treasury, and inward/outward International and Domestic Swift payments, including those that emanate from the various CBA Channels.Our team is responsible for Traces Investigations for International Money Transfers, Australian Dollar Payments and High Value Payments processed via the Bank’s electronic systems -CommFX, Read more […]
Manager | Treasury | Singapore
My client is a leading International Bank and we are recruiting for a Front Office Treasury candidate at the AVP level for their expanding Treasury team in Singapore. This Treasury candidate will oversee Risk and Cash Management, and this role is part of expansion within the Treasury team. The Treasury team sits as part of the Treasury desk and they handle Cash Management for the Bank. This role is a regional Treasury position. Our ideal Treasury candidate for this Treasury role should have strong Treasury, Cash Management of Foreign Exchange experience. Candidates should also understand Liquidity Read more […]
Director – Edible Oils Analysis & Risk Mgmt
Tasks Commodity Analysis: To monitor and evaluate the market dynamics and price movement of edible oils: palm, soy, corn and sunflower oils and wheat, in addition to all related outside markets such as crude petroleum, US dollar index, etc. To provide proper recommendations for buying edible oil products. The recommendations are based on generating buying signals using trading systems that incorporate both technical and fundamental analyses and price forecasting models To continuously improve and update the trading systems for edibles oils and wheat using: Technical analysis as affected by S/D, Read more […]
Treasury Manager
Our client is a reputable asset management Company with a sizeable AUM and multiple legal entities in Asia Pacific. To support business expansion, they are now seeking a Treasury Manager to join their Treasury team. Reporting to the Head of Treasury, you will be responsible for monitoring global FX markets and review the Company’s foreign exchange risk profile. You will also interface with investment teams to provide treasury assumptions for project appraisals and hedging strategies. You will also be providing monthly FX outlook and prepare quarterly FX review with senior management. You will Read more […]
Project Manager
Project Manager – Foreign Exchange/Money Markets (FX/MM) | Calypso | Investment BankingInvestment banking client is looking for a Project Manager who has a good knowledge of FX/MM (foreign exchance/money markets) and has had an exposure to Calypso. The individual must have a background in finance – preferably in investment banking. Project Manager – Foreign Exchange/Money Markets (FX/MM) | Calypso | Investment Banking Project ManagementFX/MM CalypsoLocation: Amsterdam, the NetherlandsDuration: 6 monthsDaily rate: NegotiableContact: Frank StephensonEmail: apply.a33hoj4wc7@selbyjennings.aptrack.co.ukTelephone: Read more […]
AVP, Treasury
We have a great Risk model which enables our clients to trade various markets and products where we provide the full suite of Clearing Direct Market Access (DMA) services, Margin Financing and Settlements. The role itself is on the Treasury desk, performing execution and cash management activities. This includes Execute money market and FX deals. Responsible for dealing, fixing confirmation of these transactions and giving instructions to the settlement department to ensure transactions are processed accurately Cash management – Funding each sites cash needs, while still maintaining appropriate Read more […]