Trader, Treasury Department (bilingual Mandarin/English)
International Bank is seeking a Trader to join their Treasury Department in NYC. This hire will assist in the execution of treasury transactions, including money market, FX, derivatives, debt issuance, bond investment, as well as liquidity and asset-liability management-related tasks. This is a junior position in trading and liquidity and asset-liability management.
Trader Responsibilities:
- Assist in the processing and execution of money market, FX, derivative, debt issuance, and bond investment transactions.
- Monitor and project daily cash positions.
- Coordinate with the operations team to ensure smooth settlement of treasury transactions.
- Develop business relationships with counterparties, broker-dealers, and investors.
- Assist in performing analyses of the macro economy and financial markets and reporting on the bank's cash flow, asset-liability structure, and cost of funds for review by management.
- Assist in updating procedures and policies.
- Perform various compliance-related tasks.
- Complete additional ad hoc tasks assigned by the supervisor.
Trader Requirements:
- Bachelor's degree in a business/finance-related field.
- Up to 2 years of relevant experience in the banking industry.
- Bilingual fluency in Mandarin and English is required.
- CFA, FRM, or CTP certification preferred.
- Understanding of market dynamics and trends.
- Strong communication, organizational, and interpersonal skills.
- Strong analytical and problem-solving skills.
Base pay range: $75,000.00/yr - $100,000.00/yr
Additional compensation types: Annual Bonus
Seniority level: Entry level
Employment type: Full-time
Job function: Finance
Industries: Banking and Financial Services
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