Bangkok Bank Singapore is a full license bank operating in Singapore since 1957. We provide a wide range of wholesale and consumer banking and financial services to meet the diverse needs of our clients.
We are seeking an experienced and highly motivated Treasury Dealer to join our Treasury team. The successful candidate will be responsible for managing the Bank's G7 and regional currency trading portfolios, as well as overseeing the THB interbank position, THB spot book, and THB swap book. The role also supports Treasury's strategic initiatives through participation in FX-related product development, business initiatives, and preparation of product proposal papers.
This position requires a disciplined market professional with strong trading, analytical, and risk management capabilities, coupled with an in-depth understanding of global and regional foreign exchange markets.
Key Responsibilities
Trading & Portfolio Management
- Manage and actively trade G7 and regional currency portfolios within approved limits and risk parameters.
- Monitor and manage the Bank's THB liquidity and interbank positions.
- Execute and manage THB spot and swap books to optimize profitability and liquidity positions.
- Monitor market movements, geopolitical developments, monetary policy changes, and economic indicators affecting FX markets.
- Identify trading opportunities and execute transactions to achieve Treasury revenue objectives.
Risk Management & Compliance
- Ensure all trading activities comply with approved risk limits, Treasury policies, and regulatory requirements.
- Monitor position exposures, Value-at-Risk (VaR), stop-loss limits, and other risk metrics.
- Maintain strong control discipline and ensure timely escalation of market, liquidity, or operational risks.
Product Development & Business Support
- Assist in the development, enhancement, and implementation of FX-related products and solutions.
- Prepare product proposal papers, business cases, and related documentation for management and regulatory approval.
- Support Treasury initiatives aimed at expanding FX products, market coverage, and client solutions.
Requirements
Qualifications
- Bachelor's degree in Finance, Economics, Accounting, Business, Mathematics, or a related discipline.
- Professional certifications such as ACI Dealing Certificate, CFA, FRM, or equivalent will be an advantage.
- knowledge on FX options and derivatives is a plus.
Experience
- Minimum 5 years experience in a Treasury dealing role within a bank.
- Proven experience managing FX trading portfolios, including G7 and/or regional currencies.
- Strong hands-on experience in THB interbank, spot, and swap markets.
- Experience in FX product development, treasury projects, or new product approval processes is desirable.
- Good understanding of Treasury products, financial markets, and regulatory requirements.