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Business Function:
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, interest rates, credit, and derivatives. Global Financial Markets (GFM) provides total solutions to serve DBS clients hedging and investment needs with a regional emphasis. We have a strong record of providing innovative wealth management solutions to our individual investors. We are a leader in SGD and regional products with excellent customer-driven research capability and an ever-growing distribution network.
Responsibilities:
- Provide relationship and sales coverage to a portfolio of corporate clients.
- Assist in sales pitches and providing regular market trends and pricing updates.
- Engage in daily client interactions (including face-to-face presentations), assess client needs, and proactively promote and deliver a wide range of Treasury solutions to corporate clients.
- Acquire and engage new corporate clients while growing existing customer base.
- Oversee trade execution, including live pricing, quotation, voice recording, and deal input.
- Collaborate closely with structurers and traders on pricing Interest Rate Derivatives, FX Spot and Forward, and FX derivatives.
- Manage pre-trade documentation requirements (e.g., ISDA negotiation, legal opinion, Broad Resolution, Customer Suitability Questionnaire) in collaboration with internal legal teams and external counsels.
- Support trading activities by activating trading limits, conducting test trades, and ensuring accurate deal input into the system.
- Handle post-trade documentation requirements (e.g., trade confirmation, fixing advices, settlement instructions, Mark-to-market reports) and trade settlements in collaboration with various operation teams.
- Contribute to sales process improvement projects and participate in system enhancements.
Requirements:
- Bachelor's degree in any discipline with 5-10 years of relevant experience in corporate advisory sales or financial markets, preferably in Treasury products.
- Familiarity with or completion of relevant certifications (e.g., RNF) is advantageous. - Strong knowledge of Treasury products, including but not limited to interest rates, credit and foreign exchange derivatives.
- Ability to thrive in a fast-paced environment, manage multiple tasks, and maintain a customer-centric focus.
- Collaborative team player with meticulous attention to detail and excellent analytical skills. - Outstanding written and verbal communication skills.
- Self motivated and results oriented.
Job ID: 147094919
Skills:
Analytical Skills, CMFAS M6, Commodity, Equity-linked Products, Interest Rate, CMFAS M6A, Fx, Bonds, CMFAS M5, Treasury advisory services, CMFAS M1B
Skills:
Summit, Agile Methods, static reference data management, trade capture, Murex, capital-markets technology, Valuation, Calypso, curve frameworks, Treasury Products, Wallstreet Suite, risk measures, Pricing

Skills:
Scrum, Summit, Business Rules, Agile Methods, interface requirements, Valuation, risk management, Regulatory Reporting, trade capture, capital-markets technology, data mappings, Murex, Kanban, acceptance criteria, Calypso, Pricing, Treasury Products, Wallstreet Suite
Skills:
competitive pricing , Stress Testing, Hybrid products, Equities, Hybrid solutions, Bespoke solutions, Credit, exotics, interest rate derivatives, Trade capture, model validation, FX rates, scenario analysis, Stakeholder Management, Tail-risk assessments
Skills:
CMFAS M6, Trade execution for FX, Commodity and Equity-linked Products and Solutions, Interest Rate Bonds, CMFAS M6A, Investment offerings, CMFAS M5, Treasury advisory services, CMFAS M1B, FX Interest Rate hedging solution