Dealer (FX Option/Bond) / Credit Risk Manager(welcome SEA background candidates)
Hong Kong
- Vietnam /Indonesia /Thailand.
- Good Benefit
- 5 days’ work
Dealer ( FX Option / Bond)
Job Responsibilities
- Execute FX options / bond trades and manage risk exposure across multiple currency pairs.
- Provide competitive pricing and market insights to institutional clients.
- Monitor market conditions and adjust trading strategies accordingly.
- Maintain accurate records of all transactions and comply with regulatory requirements.
- Collaborate with sales teams to develop client-focused solutions.
- Contribute to daily market analysis and risk assessment processes.
Job Requirements:
- Bachelor's degree in Finance, Economics, Mathematics, or related field.
- 4+ years of experience in FX options trading or similar derivatives markets in Singapore.
- Strong analytical skills with proficiency in quantitative methods.
- Excellent communication abilities in English and local languages in Indonesia / Malaysia /Thailand.
- Professional qualifications related to Financial Analysis / Risk Management are preferred.
- Ability to work effectively under pressure in fast-paced environments.
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(Senior) Credit Risk Manager
Job Responsibilities:
- Conduct in-depth analysis of financial statements, economic data, and market trends for large corporate clients in complying with the local regulatory requirements and internal policies.
- Prepare detailed credit proposals and recommendations for senior stakeholders and credit committees.
- Work closely with relationship managers, product teams, and other internal units to structure credit facilities and align on credit risk strategies.
- Ensure compliance with regulatory requirements for counterparty risk management and support internal audits and regulatory reviews.
- Foster strong collaborative relationships with internal stakeholders to promptly identify and resolve risk and control issues.
- Assist with regulatory examinations and auditing tasks related to counterparty credit risk.
Job Requirements:
- University degree or higher holder with major in risk management, economics, finance, accounting, or related fields.
- 6+years of work experience in credit risk assessment.
- Managerial experience is preferred.
- Professional qualifications in Financial Analysis / Risk Management are preferred.
- Solid understanding of macroeconomics, capital markets, public debt instruments, and industry developments affecting large corporate clients.
- Excellent command of both spoken and written English and local languages in Vietnam /Indonesia /Thailand to convey complex economic and financial concepts clearly to diverse audiences.
- Proficiency in use of Microsoft Word and Excel; familiarity with market information tools such as Bloomberg and LSEG Workspace is also preferred.
- Willing to work under pressure with strong self-initiative.
Type:
Permanent
Category: Financial Services - No Selection Required
Reference ID:
506-260114- TN
Date Posted:
14/01/2026