Others

At OCBC Bank, we offer opportunities across our group.

Currently no vacancy in this area

Equity Trader (Ref no.: KW/GT-ET/INT)

Responsibilities

  • ​Co-manage a trading book with individual profit targets as well
  • ​Manage risk & all compliance matters as well as facilitating middle and back office communications
  • ​Handle daily routines includes morning calls, managing spreadsheets and financial models, analysing news and research, executing and booking trades
  • ​Create and execute trading ideas and carry out daily BAU matters

Requirements

  • Bachelor's degree in Business Administration​
  • Possess 2 to 5 years of relevant experience in equity trading or trading experience is preferred
  • Experience in any of the following is a plus: merger arbitrage, long/short strategies, A-H share trading
  • Possess qualifications of ECF-TM would be an advantage
  • Strong analytical and mathematical skills, excel and communication skills
  • Highly motivated, able to work independently and be a team player
  • Strong proficiency in written English and Chinese including Mandarin

Assistant Vice President, Investment Solutions (Ref no.: KW/GT-AVPIS/INT)

Responsibilities

  • ​Team member of Corporate Sales & Investment Solutions in Global Treasury, to support FX & Investment products to various business segments within the Bank & selective external customers
  • Leverage strong knowledge on FX market, macroeconomics, fundamental/technical analysis to identify FX strategies & ideas
  • Work in tandem with team members, as well as product development team and research team, to collaborate on total FX solutions
  • Produce marketing materials / write-ups, participate in media / seminar / FX Broadcast to both internal / external clients
  • Provide trainings to Business Units / branches / internal staff
  • Support trade execution, spread management & relevant maintenance
  • Ensure full compliance with the Bank’s internal and regulatory requirements

Requirements

  • ​Bachelor's degree in Business Administration, Marketing, Finance, Economics, Statistics or related field
  • At least 8 years’ of relevant experience within financial services environment, preferably in Global Markets / relevant fields
  • Possess qualifications of ECF-TM would be an advantage
  • Strong fundamental / technical analysis in FX and financial markets, as well as outstanding presentation skills
  • Good understanding of Treasury/Global Markets Investment Products
  • Strong communication and interpersonal skills / teamwork

Manager/AVP, Asset Liabilities Management, Global Treasury (Ref no.: KW/GT-MAVP-ALM/INT)

Responsibilities

  • ​Co-manage of fixed income portfolio under Treasury’s asset liabilities management desk, construct and manage the portfolio within the bank’s risk appetite
  • Handles trade executions, ensure all trades are executed within the bank’s limit
  • Perform credit analytics on corporates and sovereigns invested in the portfolio
  • Provide timely updates to management on individual investment, portfolio construction and risk profile as and when it is requested

Requirements

  • ​Bachelor's degree
  • 3-5 years relevant experience, relevant experience includes: prior fixed income management, big four accounting firms or bank’s market risk department
  • Possess qualifications of ECF-TM would be an advantage
  • Possess technical skills in Financial modelling, VBA programming

Assistant Vice President (Ref no.: KW/GTD-ALM-AVP/INT)

Responsibilities

  • ​Co-manage of fixed income portfolio under Treasury’s asset liabilities management desk, construct and manage the portfolio within the bank’s risk appetite
  • ​Handle trade executions, ensure all trades are executed within the bank’s limit
  • ​Perform credit analytics on corporates and sovereigns invested in the portfolio
  • ​Provide timely updates to management on individual investment, portfolio construction and risk profile as and when it is requested

Requirements

  • ​Bachelor's degree in Business related disciplines, CFA holder will be a plus
  • Possess 5-7 years relevant experience, relevant experience includes: prior fixed income management, big four accounting firms or bank’s market risk department
  • Possess qualifications of ECF-TM would be an advantage
  • Good knowledge in Financial modelling, VBA programming