FX Trader

    Main Responsibilities

    • Monitor and manage the bank’s intra day FX positions, executing interbank trades to hedge exposures within internal risk limits and SBV regulations.
    • Progressively manage the FX/IR proprietary trading book, making timely trading decisions based on market insights and quantitative analysis.
    • Provide real time FX pricing across Spot, Forward, Swap, IRS, and CCS products to support FX Sales and Corporate Banking transactions.
    • Monitor global and local FX/IR markets, including USD/VND movements and interbank liquidity, and provide timely market updates.
    • Prepare and manage internal and regulatory reports related to treasury activities.
    • Perform other duties as assigned by the supervisor.

    Requirements

    • Bachelor’s degree or above in Banking, Finance, Economics, or a related field.
    • 7+ years of relevant experience in treasury, FX, IR, or related functions.
    • Strong analytical, financial analysis, teamwork, and communication skills.
    • Ability to perform effectively in a high pressure environment.
    • Good knowledge of banking products, practices, and regulations.
    • Good command of English; Chinese proficiency is an advantage

    HOW TO APPLY: Please send your CV to the consultant in charge:

    Ms. Tuyen Nguyen

    E-mail: tuyen.nguyen@ev-search.com

    All applications will be considered without regard to race, color, religion, sex (including pregnancy and gender identity), national origin, political affiliation, sexual orientation, marital status, disability, genetic information, age, membership in an employee organization, parental status, military service, or any other non-merit factor.

    Interested in this position?

    Get in touch with us now!

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