We are seeking a highly skilled and motivated individual to join our Treasury team as a Money Market Trader. Based in Hong Kong, this role is responsible for managing short-term liquidity and funding requirements, ensuring optimal cash deployment, and executing money market transactions in accordance with the organisation’s policies and regulatory requirements.
The successful candidate will be tasked with monitoring and managing the daily liquidity position, executing interbank money market transactions including placements, borrowings, and FX swaps, and optimising the use of funds across multiple currencies and markets. You will also contribute to the formulation of short-term interest rate views and assist in the development of trading strategies aligned with Treasury objectives.
Strong market awareness and the ability to react quickly to changing market conditions are essential. The role also involves building relationships with counterparties, ensuring best execution practices, and maintaining awareness of risks including credit, market, and operational risks.
Key Responsibilities
- Execute and manage daily money market and short-term funding transactions.
- Maintain accurate records of transactions and support Treasury reporting functions.
- Ensure compliance with internal risk limits, policies, and regulatory guidelines.
- Monitor liquidity levels and provide funding forecasts.
- Maintain effective relationships with interbank counterparties and internal stakeholders.
- Contribute to the interest rate outlook and support strategy development.
Requirements
- Bachelor’s degree or above in Finance, Economics, Business, or a related discipline.
- Minimum 3–5 years’ experience in Treasury or financial markets, with specific expertise in money markets preferred.
- Solid understanding of money market instruments, liquidity management, and FX swaps.
- Strong analytical skills and a sound understanding of macroeconomic indicators.
- Excellent communication skills, with the ability to work under pressure in a dynamic environment.
- Proficiency in Bloomberg, Reuters, and trading platforms.
- High level of integrity, attention to detail, and commitment to operational excellence.
- Fluency in English is required; knowledge of Cantonese or Mandarin is an advantage.
This role offers a unique opportunity to work within an experienced Treasury team in one of Asia’s leading financial hubs. If you are driven, analytical, and looking to grow your career in financial markets, we encourage you to apply.
Location: Hong Kong, NA, Hong Kong
Salary: £0 per year