Director, Corporate Treasury Sales

Key Responsibilities: • To team work on over all portfolio with Corporate Treasury Sales China team and be responsible together for team’s revenue target; • To manage a portfolio of clients and be responsible for the profit and loss (PL) of that portfolio by growing the revenue base of the existing clients and look at new client acquisition. • To proactively call on clients and prospects with trade and cash sales and relationship manager’s introduction. • To provide advisory services on foreign exchange (FX), interest and money market products to clients by updating through meetings, Read more […]

AVP Treasury (FX & Money Market) Front Office

Our client has a broad product offering including; Electronic execution service over their Direct Market Access (DMA) infrastructure; Clearing, matching and settlement of derivatives and securities; Positioning of guarantees to clearing houses and exchanges; Financing of margins, premiums and securities positions; Integrated position administration and risk monitoring and Electronic output delivery over the internet and through file transfer. As the AVP in the Treasury (FX Money Market) Front Office you will monitor and execute treasury activities to support the Asia Pacific Clearing Services Read more […]

Equity Derivatives/Fixed Income Rates Quantitative Developer (VP) -Investment Bank

Responsibilities: To comprehend quantitative frameworks and apply the models to their trading activities Contribute actively to the quantitative team in developing trading applications, models, and frameworks Provide on-going support to the Asia Pacific team in identifying creative solutions to quantitative challenges Work within the analytics library to implement necessary modifications and extensions Build and maintain Asian databases for model back-testing Design and backtest forecasting models and trading strategies Develop pricing model using C++ Calibrate and forecast volatility and correlations Read more […]

FX Risk Analyst

The role will offer a chance to work with world leader in FX markets, work with a strong risk management team.  The ideal profile is someone – understands FX market, life cylce of trades – exposure to settlement of trades – analytical approach acquired in a risk, liquidity, trade, financial type role – some VBA knowledge If you are interested, please drop your resume to chris.finn@eamesconsulting.com  

C## .Net Developers; Front Office, Risk Systems;Multi-threading

We are seeking investment Banking, Front Office /or Risk systems developers to work across the risk and the Fixed Income Derivatives business. The roles will involve in depth interaction with the Fixed Income and Risk Office business groups (e.g. traders, quantitative analysts etc) and the IT teams. You will need to quickly familiarise yourself with the existing technology and infrastructure and design and implement new functionality in core risk systems. Generally the development life cycles will be Agile and test driven. In order to take on these positions we will need to see: •Strong design Read more […]

Relationship Manager (French, German or Spanish speaking)

Relationship Manager (French, Spanish or German Speaking) –AVP Level –Permanent Role – Competitive Salary – International Bank-Singapore   In response to our clients’, Amoria Bond is looking for a French-speaking sales professional to assist the organisations International Wealth Management Business   Reporting into Senior Management, the ideal candidate will be responsible for:   •    Acquiring new business from the French Ex-Pat client base in Singapore and South-East Asia •    To meet and exceed Revenue, AUM and New Accounts targets •    Uphold the clients outstanding Read more […]

Head of Sales – Dérivés FX, IR & Commodities

Huxley Associates, cabinet de recrutement international spécialisé sur les métiers de la finance de marché, recrute pour l’un de ses clients, une banque d’investissement étrangère basée à Paris, un sales, possédant 10 ans d’expérience minimum en vente de produits dérivés de change (FX), de taux d’intérêt (IR) et de matières premières, disposant d’un portefeuille de clients institutionnels et Corporates (…) en Afrique.Head of Sales – Minimum 10 ans d’expérience – Produits dérivés FX, Taux d’Intérêt Commodities) – Clients Afrique – Poste basé sur Paris – Salaire proposé: Read more […]

FX Trader/Market Maker – Sovereign Wealth Fund

You must be a highly experienced FX Market Maker professional with the ability to demonstrate healthy PL gains in recent years. My client is seeking candidates with a strong forex trading background, with exposure to a wide range market making strategies who can demonstrate the ability to manage their own significant risk profile, will have achieved good gains and will have earned a significant stop loss limit. In order to be considered for this position you must meet all of the following requirements:  • At least 7 years trading experience  • Familiar with all major currencies and derivative Read more […]

Head Of Sales Trading

Responsibilities will include: Responsible for execution advisory services. Managing and overseeing the day-to-day operations of Sales Traders/Client Service Traders Responsible for a portfolio of clients including HNWI, Professional, Institutional, Corporate Broker Dealers. Responsible for planning, developing building business plans for Sales Trading department.   In order to apply candidates MUST have: MUST have experience working in a FX Brokerage. MUST have 5 years minimum experience at SENIOR Level MUST have a degree If interested please send your resume to: abhangu@cobaltrecruitment.com Read more […]

Market Risk Manager – Tier 1 Investment Bank – City based

My client, a leading Tier 1 Investment Bank based in the City has a requirement for a Market Risk Manager covering G10 Currencies and Rates. The successful candidate will join a strong team based on the Trade-Floor working with FX and Rates Traders. They will be responsible for the analysis and monitoring of market risks taken within G10 FX. Additional responsibilities include analysis of model risk, analysis and reporting of market risk. Analysis of risk positions (Greeks), changes in VaR. Analysis of risks of new trades (to include exotic FX products that are handled in G10) The Risk Manager Read more […]