International Bank is seeking a Trader to join their Treasury Department in NYC. This is a junior position in trading and liquidity and asset-liability management. Trading Assistant will assist in the execution of treasury transactions, including money market, FX, derivatives, debt issuance and bond investment, as well as liquidity and asset-liability management-related tasks.
Trader Responsibilities:
- Trader will assist in the processing and execution of money market, FX, derivative, debt issuance and bond investment transactions.
- Trader will monitor and project daily cash positions.
- Coordinate with the operations team to ensure smooth settlement of treasury transactions.
- Ability to develop business relationships with counterparties, broker-dealers and investors.
- Successfully assist in performing analyses of the macro economy and financial markets and reporting on the bank’s cash flow, asset-liability structure, cos of funds for review by management.
- Ability to assist in updating procedures and policies.
- Trader will perform various compliance-related tasks.
- 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 proficiency in the Chinese, English language preferred
- CFA, FRM or CTP certification preferred
- Understanding of market dynamics and trends
- Strong communication, organizational, and interpersonal skills
- Strong analytical and problem-solving skills
- Strong VBA programing skills preferred
Salary range $75,000-$100,000 based on experience. Bonus eligible.
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