Job Description: 1.Develop and maintain FX business relationships with Non-Japanese RM team collaborate well with both internal departments as well as external clients. 2.Understand client needs and provide clients with high level FX and rates product quotations, deal executions and hedging solution pitching services on a timely basis. 3.Explore new business potentials and broaden existing and potential client base. 4.Prepare timely Global Market updates/Proposals to relevant clients in the industry. 5.Follow internal and external procedures, policies and guidelines in daily working. Follow bank's core values.
Job Requirement: 1.Bachelor degree or above from a recognized University (Economics, Statistics or Finance background are preferred). 2.Huge interest and solid working experience in Global Markets/Treasury. Strong FX, Rates and Structural derivatives products knowledge. 3.Be able to promote Global Markets Foreign Exchange and Interest Rate risk management business to corporates or institutions. 4.Client oriented, solution driven, hungry for success and team player with strong win-win mentality. 5.Have strong coordination, learning ability and communication skills in both English and Chinese Business environment. 6.Proficient in MS-OFFICE(Excel/PowerPoint), could skillfully produce PPT materials and data analysis work in promoting treasury business.