Job Qualifications:- Candidate must possess at least a Bachelor's/College Degree in Finance, Economics, Accountancy, Banking or equivalent.
At least 3-4 years experience in trading, with a strong track record in managing market and interest rate risk.- Deep understanding of financial markets, trading strategies, and risk management principles.
Proficiency in trading platforms, financial modeling, and analytical tools.
- Strong problem-solving skills and the ability to think strategically and critically.
Detail-oriented with excellent organizational skills.- Flexibility to adapt to changing market conditions and company strategies.
Availability to work beyond regular business hours, if necessary, to manage market activities and risks.
Responsible for the daily foreign exchange hedging with banks.
- Responsible for the fuels hedging via paper hedging if required
Manages the equities and commodities trading portfolio of the department.- Manages the foreign exchange trading portfolio of the department.
Manages the fixed income trading portfolio of the department.
- Hedges the interest rate risk of the company
Contribute to the trading gains of the department.- Provide accurate and timely market information that may be used as actionable intelligence to execute a good trading position.
Ensures that all trading related transactions executed by him/her are settled on settlement dates.
- Prepare input sheet for the recording of the transactions.
Maintain good working relations with banks and counterparties.- Explore new relationships with other banks and counterparties.
Continuously explore different investment vehicles that the company may enter which may provide potential trading gains.
- Constantly be updated on current information that may affect the company's proprietary trading position.
Provide input that may be used to improve the process workflow of the department.- Assists in the cashflow management of the company.
Job Type: Full-time
Schedule:
Experience:
Trading: 3 years (Preferred)