Singapore
Trading
Group Functions
Job Reference #
261314BR
City
Singapore
Job Type
Full Time
Your role
Are you an experienced, confident relationship builder? Are your market analysis skills second to none?
We’re looking for someone like that who can:
– generate revenue and grow client business in all products traded in the team, with initial focus on Asia/ Emerging Markets repo
– proactively keep on top of market developments and trading opportunities
– facilitate client order flow by providing liquidity through internal capital or accessing third-party offerings
– follow regulations and internal policies, including quality of execution, pricing, hedging, trading limits and compliance policies
– manage broad range of risks, including but not limited to trading risk, execution risk, operational risk and compliance risk
– managing the projection of scarce resources and work towards solutions to optimize current usage for all areas of UBS
Your Career Comeback
We are open to applications from career returners. Find out more about our program on ubs.com/careercomeback.
Your team
You’ll be working in the Group Treasury, Investments & Execution (I&E) APAC team, which is a trading business managing UBS's balance sheet portfolio investment risks. I&E APAC operate across 4 primary locations Singapore, Sydney, Tokyo and Beijing, making use of a large product suite. I&E offers you a breadth and depth of understanding in trading and a platform to build strong internal and external client relationships. Risk positions of I&E are influenced by a multitude of market risk factors and so you must combine conviction to trade with the capacity to understand how our bank balance sheet operates.
The team operates in a performance orientated environment; whilst proactively supporting a good work life balance and flexible working arrangements.
Your expertise
You have:
– experience (3-8 years) in Asian/ Emerging Markets repo and fixed income markets in sale/trading role
– solid understanding of Fixed Income and Money Market products, with particular experience in Credit/Interest Rate and risk management a plus
– good understanding of regulatory environment; especially in the area of funding, capital and liquidity
– strong analytical, data manipulation and communication skills required
– self-starter, as well as a committed team player with good interpersonal skills
– proven success working in a fast-paced, agile working environment
– proficient in written and spoken English with excellent communication skills. An Asian language would be an added benefit
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