Oversees the bank’s trading and dealing activities, ensuring profitable and compliant execution of transactions in the foreign exchange and fixed income.
Managing the non-linear trading team, setting trading strategies, monitoring market developments and ensuring adherence to internal limits and regulatory policies
Scope of Works
Oversee daily linear foreign exchange (FX) and fixed income trading operations such as NDF/NDS, Options, Long Term Swaps/Forwards, Currency Swaps
Executes trades in line with approved position limits, risk parameters and investment strategies.
Monitory global and domestic market trends, economic indicators and central bank policies (ex. BSP actions)
Advise the Chief Dealer or Head of Trading on market movements, rate expectations and trading opportunities.
Generate regular market outlooks and profitability report...