With enhanced overall scale, client base and capital strength, our client has established a full-service investment banking business framework based on its research foundation for the development of investment banking, equities, FICC, wealth management and investment management. Currently they are seeking for a high calibre talent who has extensive exposure and experience in Treasury to join their Finance team.
Our client is a well-positioned Investment Bank leveraging its extensive network and outstanding cross-border capabilities to provide a full range of world-class financial services to clients with global influence.
With dynamic and international working environment, they embrace work-life balance and support organic career progression.
Monitor FX exposure and prepare analysis reports on FX hedging activities
Performing funding and FX execution for the Group
Assist in formulating FX hedging strategy and preparing investment insights report
Provide management with regular treasury reports for reviewing
Assist in implementation of Treasury management system and database
University Degree in Accounting, Finance or related discipline
3-5 years' relevant experience in Treasury
Solid knowledge in FX & Rates products
CFA or FRM qualification would be a plus
Strong analytical skill and work ethics
Good command in English and Mandarin (both verbal and written)
Flat structure and open team culture
Medical insurance coverage for spouse and children
All-rounded exposure and promising career advancement
To apply online please click the 'Apply' button below. For a confidential discussion about this role please contact Olivia Xie on +852 2258 3411