Skip to main content

You will need to login before you can apply for a job.

ALM (Asset Liability Management) Trader

Employer
GXS Bank
Location
Singapore, Singapore
Salary
Competitive
Closing date
Mar 31, 2025
View more categoriesView less categories
Job Function
Accounting/Audit/Tax
Industry Sector
Finance - General
Employment Type
Full Time
Education
Bachelors
Reporting to the Head of Treasury, you will be responsible in:
  • Liquidity Management: Responsible for managing the Bank's liquidity including nostros, money market and securities portfolio management and other market facing activities necessary for liquidity management purposes and net interest income optimization.
  • Liquidity Portfolio Management: Ensure the bank holds an adequate buffer of high-quality liquid assets in line with regulations and to survive severe but plausible liquidity stress scenarios without recourse to extraordinary central bank support.
  • Regulatory Compliance & Reporting : Ensure that all Treasury Front Office activities comply with internal policies, local, and international regulatory standards. Manage credit, liquidity and market risk exposures in the Bank's Treasury Portfolios to ensure they are in line with all relevant regulatory limits and comply with the Bank's overall risk management framework.
  • Profit and Loss (P&L) Responsibility: Manage the Bank's liquidity and securities portfolios, with the objective to achieve absolute return and risk-adjusted return targets, within liquidity, capital, and regulatory constraints. Managing the Bank's excess liquidity net interest income and risk profile and hedging strategies and tactics to minimize balance sheet basis risks and reduce drags.
  • Financial Innovation & Digital Treasury Solutions : Embrace cutting-edge technology and digital tools to enhance Treasury operations, including real-time liquidity management and automated forecasting. Drive continuous system improvements aligned with the Bank's product growth.
  • Stakeholder Engagement : Serve as the point of contact for external partners, including financial institutions, rating agencies, and regulatory bodies. Collaborate with internal stakeholders and work across bank-wide divisions to achieve holistic goals.
Requirements:
  • You have at least 8 years experience in the banking industry
  • Possess experiences in fixed income portfolio management, FX/rates/credit trading, and balance sheet management
  • Solid understanding of banking regulations in Singapore
  • Lateral thinker/problem solver in a complex environment
  • Good interpersonal skills, with ability to establish and maintain effective working relationships both within and across business units.
  • Able to plan and coordinate effectively and manage expectations to achieve the expected results.
  • Ability to look beyond individual issues to identify broader themes with wider-reaching impact
  • Superb presentation and communication skills to interact with broad ranges of audiences
  • Experience in project managing complex, cross-functional projects
  • Creativity and comfortable with 'blank sheet of paper' assignments
  • A big-picture thinker who is detail-oriented
  • Structured thought process and a strong analytical ability, and some experience with operational execution
  • Strong interpersonal skills with an ability to effectively network within the industry and the overall business
  • Self-drive and motivated individual who can work well in a startup VUCA (Volatile, Uncertain, Complex, Ambiguous) environment.
  • Demonstrated integrity and respect in the performance of their duties.

Sign in to create job alerts

Sign in or create an account to start creating job alerts and receive personalised job recommendations straight to your inbox.

Create alert