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Treasury & Chief Investment Office - Vice President

JPMorgan Chase & Co.

Singapore

On-site

SGD 80,000 - 120,000

Full time

4 days ago
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Job summary

A leading global financial services firm in Singapore is seeking a professional with markets experience to manage FX deals and liquidity risk for the branch. The successful candidate will possess a Bachelor’s degree in Finance or Economics, along with at least 5 years of experience in APAC currency and fixed income. Key responsibilities include optimizing balance sheet management, providing market analysis, and preparing liquidity reports. This role requires strong interpersonal skills and proficiency in tools like Excel and Bloomberg.

Qualifications

  • Minimum of 5 years of markets experience in APAC currency and fixed income.
  • Experience in CNH FX and money markets.
  • Strong sense of governance to ensure compliance.

Responsibilities

  • Perform market analysis and execute FX deals.
  • Manage daily funding and liquidity risk.
  • Optimize balance sheet management.
  • Prepare and review liquidity-related reporting.
  • Develop front-office projects and collaborate with internal functions.

Skills

Attention to detail
Interpersonal skills
Communication skills
Self-directed
Highly motivated
Ability to work independently
Governance awareness

Education

Bachelor’s degree in Finance, Economics, or related disciplines

Tools

Microsoft Excel
Microsoft PowerPoint
Bloomberg
Reuters Eikon
Job description
Job responsibilities
  • Perform market analysis and execute FX deals to hedge non‑USD foreign exchange exposure
  • Manage daily funding and liquidity risk for the Singapore branch and related entities
  • Manage collateral and reserves as part of IRRBB risk management and to meet local regulatory requirements
  • Optimize balance sheet management and the firm’s balance sheet
  • Maintain positions (including FXNOP, BPV and liquidity profile) within assigned limits
  • Execute funding trades such as money markets, repo/reverse repo, and FX with counterparties
  • Submit daily pricing and transfer pricing rates for loans and deposits
  • Estimate and report daily Profit & Loss
  • Prepare and review liquidity‑related reporting, including collateral reports and stress tests
  • Develop front‑office projects such as balance sheet analysis and macroeconomic market updates, and collaborate with internal functions and liaise with interbank counterparties and stakeholders
  • Provide holiday backup for other APAC branches as necessary
Required qualifications, capabilities, and skills
  • Bachelor’s degree in Finance, Economics, or other mathematical‑related disciplines
  • Minimum of 5 years of markets experience in APAC currency and fixed income, funding, liquidity, and balance sheet management
  • Experience in CNH FX and money markets
  • Attention to detail and a good understanding of different types of risk in investment activities
  • Strong sense of governance to ensure compliance with regulatory and internal requirements
  • Good team worker with excellent interpersonal and communication skills
  • Self‑directed, highly motivated, and able to work independently
  • Proficiency in Microsoft Excel, PowerPoint, Bloomberg, and Reuters Eikon
Preferred qualifications, capabilities, and skills
  • Knowledge in VBA and coding is a plus
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