Senior FX/Rates Trader & Cash Manager

Role Summary

This role will report to Head of Treasury Management.

The incumbent will be a Senior Trader in few asset classes, with specialization in implementing Foreign Exchanges (FXs) and Interest Rates products (eg FDs, Bills, Repos). He or she will also work alongside with team members to manage portfolios’ cash flows and short dated funds. In addition, this member will work on initiatives to transform trading workflows and technology.

Key Duties and Responsibilities

  • Responsible for implementations of Foreign Exchanges, and Interest Rates products.
  • Devise tactical implementation strategies on Algorithms, Unlit markets, and other trading technologies.
  • Perform cash flow management, margin review, and manage short-dated funds.
  • Lead team to transform trading workflow, systems, and trading intelligence.
  • Work across Investments, Business Management Group and Control divisions on trade related matters.

Education Qualification

  • Degree qualified.
  • Preferably Singapore MAS license holder.

Experience and Skills

  • Minimum 10 years of experience, preferably in Foreign Exchanges and Rates related implementations.
  • Have supervisory experiences and/or leadership qualities.
  • Knowledge in using trading technology like Bloomberg EMSX/TSOX, and algorithmic and unlit tools.
  • Strong analytical skills and mathematical background. Programming knowledge will be a plus.
  • Good team player and embraces collaborative and open working culture.
  • Eagerness to transform trading workflow and technologies, and review status quo.
  • Ability to work under pressure and datelines.
  • Good written and verbal communication.


  • Competitive and reward for performance.

Register your interest for the position by writing to with your CV, resume and transcript (for internships only).