As a leader in treasury operations, DBS extends a broad range of capabilities in foreign exchange and derivatives, money market and securities trading, to corporations and financial institutions. DBS trades in a comprehensive product range, including foreign exchange, as well as interest rates and derivatives.
Treasury & Markets (T&M) provides total solutions to serve DBS clients’ hedging and investment needs with a regional emphasis. We have a strong record in providing innovative wealth management solutions to our individual investors. We are a leader in SGD and regional products with an excellent, customer-driven research capability and with cutting-edge risk management technology and systems.
Construct, create, price and execute credit products ( vanilla Credit Linked Notes to Complex Hybrid Structures).
Support the sales teams by way of pricing, customer calls and presentations
Understand the risks of the portfolio and assist in managing the portfolio
Support the team in risk management and daily tasks
Highlight market risks and opportunities to our clients
Bachelor or Masters Degree(BA, economics, finance, mathematics or similar)
Minimum 2-3 years in structuring as primary focus
Able to run daily business processes such as P&L and Risk numbers
Working knowledge of Excel, VBA and SQL is a plus
Preferably, experience with financial accounting and derivatives documentation (ISDA, GMRA)
Individual contributor who is possessed problem solving and communication skills, highly analytical and meticulous
Have keen interest in market developments and trends
We offer a competitive salary and benefits package and the professional advantages of a dynamic environment that supports your development and recognises your achievements.