64 Derivatives Dealer jobs in Singapore
Financial Markets Trader
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We are seeking a highly skilled Fixed Income Trading Specialist to join our team in Singapore. In this role, you will be responsible for developing and executing trading strategies in fixed income markets, focusing on interest rate derivatives, government bonds, and related products.
Key Responsibilities:- Develop, execute, and manage trading strategies in fixed income markets, focusing on interest rate derivatives, government bonds, and related products.
- Analyze market trends, macroeconomic indicators, and quantitative data to identify trading opportunities.
- Collaborate with quant researchers and engineers to design and improve pricing models, trading algorithms, and risk management tools.
- Monitor and manage risk exposure in real time, ensuring compliance with regulatory requirements.
- Continuously optimize trading strategies by evaluating performance, market conditions, and competition.
- A degree in a quantitative discipline such as Engineering, Mathematics, Science, or a related field.
- Proven experience in trading fixed income products, with a strong understanding of interest rate markets, yield curves, and pricing dynamics.
- Exceptional analytical and problem-solving skills, with a passion for working in fast-paced, high-pressure environments.
- Excellent communication and collaboration skills to work effectively within a multidisciplinary team.
- A proactive mindset with a strong drive for continuous learning and improvement.
- Strong programming skills (e.g., Python, R, or C++) for analyzing data and developing tools is preferred.
- The opportunity to work alongside diverse, intelligent, and driven peers in a rewarding environment.
- Competitive remuneration, including an attractive bonus structure and additional leave entitlements.
- Training, mentorship, and personal development opportunities.
- Gym membership and weekly in-house chair massages.
- Daily breakfast and lunch.
We believe that great ideas and impact can come from everyone. We are passionate about empowering individuals and creating diverse teams that thrive. Every person at our organization should feel included, valued, and respected, because we believe our best work is done together.
Financial Markets Trader
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Investment Trading Coordinator
Responsibilities:
- We are seeking an Investment Trading Coordinator to assist in the settlement process of intraday futures orders initiated by the department.
- The ideal candidate will collect and compile relevant data pertaining to futures trading activities, ensuring accuracy and timeliness.
- Maintaining organized records of transactions and related documentation is crucial for this role.
- The successful candidate will conduct data analysis, statistics, and summaries of trading performance, providing valuable insights to the team.
- This role involves supporting ad-hoc tasks and projects as directed by the department, demonstrating flexibility and adaptability.
Requirements:
- A Bachelor's degree in Finance, Economics, Business, or a related field is required.
- Strong interest in commodities trading and financial markets is essential.
- Excellent analytical skills, a strong sense of responsibility, and attention to detail are necessary for success in this role.
- Proficiency in Microsoft Excel and other analytical tools is expected.
- Effective communication and interpersonal skills are critical for collaboration and teamwork.
- Ability to work well in a fast-paced and dynamic environment is essential.
- Exhibit a strong sense of responsibility and commitment to excellence in all aspects.
Financial Markets Specialist
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Job Role: Securities Dealer
About the Job:A Securities, Futures and Forex Dealer is responsible for executing trades and providing trade support services to customers. The ideal candidate will have a strong understanding of financial markets, excellent communication skills, and the ability to work independently.
Key Responsibilities:This role offers opportunities for professional growth and development in a dynamic and challenging environment.
Other Information:Please note that this job description may be subject to change.
Financial Markets Specialist
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We are seeking a seasoned professional to lead our Institutional sales efforts in Hong Kong, China and North East Asia.
This role will be responsible for managing a portfolio of clients based mainly in the region, working closely with DCM, Syndicate and trading teams to ensure investors are well covered for both primary and secondary offerings.
The ideal candidate will possess a strong track record in Global Markets Sales, dealing in Fixed Income products, and have excellent relationships with key stakeholders.
Key Responsibilities:
- Manage a portfolio of Institutional clients in Hong Kong, China and North East Asia.
- Work closely with DCM, Syndicate and trading teams to ensure investors are well covered for both primary and secondary offerings.
- Collaborate with other teams within IB&M such as Client Solutions, ICM, Treasury, Line one, Line Two and Risk.
Requirements:
- Minimum 6 years working in a Global Markets Sales team, dealing in Fixed Income products.
- Hold relevant Financial Markets accreditations.
- Strong numerical and analytical skills.
- Exceptional experience in collaborating with trading desks.
- Knowledge of Global markets product set for sophisticated institutional client base.
- Excellent stakeholder management and influencing skills.
- Verbal and written communication skills.
- Attention to detail.
- Exposure to booking models or operational experience.
- Risk Mindset - proactive identification and mitigation of current and future risks.
Benefits include a competitive compensation package and opportunities for growth and development within a dynamic and innovative organization.
Financial Markets Specialist
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A well-established financial institution is seeking a skilled professional to support capital market applications and trading systems in Market Risk/Front Office operations.
This role requires strong expertise in capital markets, with knowledge of financial products such as Treasury, FX, Credit, IRD, Bonds, RSF etc. and hands-on experience with Calypso Back office functionality including customizations of modules: Custom Remote Services, Engines, Events, Filters, Reporting Framework, ScheduledTask, Message / Swift messages, Transfers, Settlement Delivery Instructions, Accounting, Pricers, Workflows, Reconciliation functionalities.
The ideal candidate will have in-depth knowledge of Confirmations, Settlement, Position, and Accounting modules and understanding of financial assets (FX, Treasury products, repos, bonds, SLB, issuances) and trade lifecycle.
Experience with regulatory reporting HRF, NORIA, MMSR is also desirable.
Requirements- At least 7 years of experience in relevant activities.
- Support capital market applications and trading systems in Market Risk/Front Office operations.
- Implement and maintain Calypso Back office functionality including customizations of modules.
- Provide expert advice on capital markets and financial products.
- Ensure compliance with regulatory reporting requirements.
- An opportunity to work with a well-established financial institution.
- A challenging and rewarding role with opportunities for growth and development.
- A competitive salary and benefits package.
Financial Markets Expert
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About this role:
We are seeking a Fixed Income Sales Analyst to join our team. This career area and line of business involve various responsibilities, including:
- Responsible for the introduction, marketing, and sale of Rates and FX products
- Work together with the team to achieve targeted revenue goals on an annual basis.
- Bring in and develop new clients to our platform.
- Support the team in sending daily commentary, runs, axes, and research.
- Generate periodic reports to assist management on strategy planning and business reviews.
- Work with other departments (i.e. trading, sales support, client service, marketing, legal, compliance) to ensure that all clients requests, inquiries, post trade issues are managed effectively.
Key Skills and Qualifications:
To be successful in this role, you will need to possess the following skills and qualifications:
- Strong knowledge of financial markets and products
- Excellent communication and interpersonal skills
- Ability to work in a fast-paced environment
- Strategic thinking and problem-solving skills
Benefits:
This role offers various benefits, including:
- Opportunities for career growth and development
- Collaborative and dynamic work environment
- Competitive salary and bonus structure
Other Information:
Please note that this role requires strong analytical and problem-solving skills, as well as the ability to work effectively in a team environment.
Vice President, Financial Markets
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Takes the lead in overseeing the operations of the Money Market Desk and Fixed Income Desk within the Financial Market Department, performing the functions of a Senior Dealer. Responsible for implementing regulatory, Head Office, and Branch-level policies related to financial market activities, and proactively managing various risks arising during trading operations.
Key Responsibilities:
1) Responsible for intraday liquidity management in SGD, CNY, USD, and other currencies; conducts interbank lending, derivatives transactions, and other market operations; monitors changes in liquidity and pricing trends across major money markets.
2) Manages the branch's bond investment portfolio to enhance its return and risk profile within the framework of asset-liability management and in accordance with authorizations from Head Office and the Branch.
3) Executes bond issuance and market funding activities as authorized under the Head Office's ALM policies; assists in the issuance planning and execution of the branch's own bonds and Certificates of Deposit (CDs).
4) Engages in secondary market trading of offshore bonds, oversees bond distribution business, and supports the establishment of SGD Primary Dealer functions.
Professional Qualifications & Competencies:
1) Deep understanding of counterparty behavior and needs; maintains strong interbank relationships and is well-versed in the investment preferences of Singapore-based institutions.
2) Familiar with the characteristics and liquidity dynamics of Singapore's domestic financial markets; understands funding conditions in the USD, SGD, and CNY markets.
3) Possesses over 10 years of experience in financial markets, including at least 5 years in managerial roles; experienced in treasury and liquidity management functions.
4) Strong sense of teamwork and overall organizational awareness; demonstrates a proactive, meticulous, and responsive work style.
5) Proficient in both spoken and written Chinese and English, to communicate with HQ and Chinese speaking customer.
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Senior Financial Markets Specialist
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Fixed Income Sales Analyst Job Overview
">We are seeking a seasoned professional to join our team in Singapore as a Fixed Income Sales Analyst. This role will involve introducing, marketing, and selling Rates and FX products to key clients.
">The successful candidate will be responsible for working together with the team to achieve targeted revenue goals on an annual basis. They will also bring in and develop new clients to our platform, supporting the team in sending daily commentary, runs, axes, and research.
">Additionally, they will generate periodic reports to assist management in strategy planning and business reviews. The ideal candidate will work closely with other departments to ensure that all client requests, inquiries, post-trade issues are managed effectively.
">Key Responsibilities:
">- ">
- Responsible for introducing, marketing, and selling Rates and FX products to key clients; ">
- Work together with the team to achieve targeted revenue goals on an annual basis; ">
- Bring in and develop new clients to our platform; ">
- Support the team in sending daily commentary, runs, axes, and research; ">
- Generate periodic reports to assist management in strategy planning and business reviews; ">
- Work closely with other departments to ensure that all client requests, inquiries, post-trade issues are managed effectively; ">
Required Skills and Qualifications:
">- ">
- 6+ months of Securities Sales experience, or equivalent demonstrated through one or a combination of the following: work experience, training, military experience, education; ">
- Experience in Rates and/or FX sales; ">
- Superior communication, interpersonal, and presentation skills; ">
- Highly self-motivated; ability to work individually and within a global team; ">
- Bachelor's Degree and CMFAS Exam Pass for M1/M2/M6 papers (prior to licensing) required; ">
- Relevant license for dealing activities beneficial; ">
- Excellent command in spoken and written English for engaging with international internal/external counterparties; ">
Benefits:
">- ">
- Maintain the highest standards of attention to detail and professionalism; ">
Financial Markets Risk Expert
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The role of the Equity Portfolio Risk Manager involves monitoring and controlling risk across equity portfolios in global markets. This includes tracking exposure, concentration, liquidity, and key risk metrics to ensure that investment decisions align with firm policies and regulatory requirements.
The successful candidate will have strong analytical skills, proficiency in Python and SQL, and experience working with financial data platforms such as Bloomberg or FactSet. They should be able to perform daily pre-trade approval and post-trade review, prepare and maintain risk reports, and contribute to performance measurement and attribution analysis.
- Monitor and manage risk across equity portfolios in global markets
- Perform daily pre-trade approval and post-trade review
- Prepare and maintain risk reports
- Contribute to performance measurement and attribution analysis
- Maintain and enhance risk data pipelines and dashboards
The ideal candidate will have a degree or above in Quantitative Finance, Statistics, Computer Science, or related discipline, with 1-3 years of relevant experience. They should be proficient in both written and spoken English and have strong communication skills to collaborate with investment, risk, operation, and marketing teams.
Key Responsibilities:- Portfolio Risk Assessment: Track exposure, concentration, liquidity, and key risk metrics across equity portfolios in global markets.
- Trade Oversight & Approval: Perform daily pre-trade approval and post-trade review to ensure compliance with firm policies and regulatory guidelines.
- Regulatory & Internal Reporting: Prepare and maintain risk reports, support committees with timely and accurate analytics.
- Performance Attribution: Contribute to performance measurement and attribution analysis, provide decision-support insights.
- Data Analytical Support: Maintain and enhance risk data pipelines and dashboards to ensure high data quality for stakeholders.
- Degree or above in Quantitative Finance, Statistics, Computer Science, or related discipline.
- 1-3 years relevant experience, preferably within a hedge fund or asset management environment focused on equity portfolios.
- Strong programming skills, proficient in Python and comfortable with SQL.
- Experience with financial data platforms such as Bloomberg or FactSet.
- Strong analytical, problem-solving, and numerical skills, work accurately under tight deadlines.
- Effective communication skills to collaborate with investment, risk, operation, and marketing teams.
- Practical understanding of AI/ML tools is advantageous.
- Self-starter with positive attitude, eagerness to learn, and a team-oriented mindset.
- Proficient in both written and spoken English and Chinese (Cantonese & Mandarin) preferred as the role may require communicating in Chinese with stakeholders in the head office.
Principal Data Scientist - Financial Markets
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Key Role in Machine Learning Engineering
- This is a critical position for designing and building machine learning models to predict outcomes in financial markets, utilizing predictive models and AI agents.
- The ideal candidate will have experience with both traditional ML methods (time series, anomaly detection, pattern recognition) and modern AI tools (LangChain, reasoning loops, tool orchestration).
- The role requires analyzing large financial datasets to derive actionable insights, and developing full ML pipelines covering model training, backtesting, deployment, and monitoring.
- Responsibilities include creating research platforms for experimenting with classical models and LLM-based approaches, collaborating with traders, quants, and researchers to solve financial problems with ML solutions, and building risk assessment and portfolio optimization systems using quantitative and AI-driven methods.
- Bachelor's/Master's degree in Computer Science, Machine Learning, Statistics, Mathematics, Physics, Financial Engineering, or related field.
- 3+ years of experience in ML engineering, quantitative research, or data science.
- Strong Python skills with libraries like pandas, numpy, scikit-learn, plus ML frameworks.
- Hands-on experience with supervised/unsupervised learning, deep learning, time series, and statistical modeling.
- Familiarity with Large Language Models (LLMs), prompt engineering, fine-tuning, and agentic systems is an advantage.
- Strong analytical, problem-solving, and communication skills are essential.
- Experience handling and extracting features from large datasets is necessary.
- Able to work independently in a fast-paced environment.
- Financial markets or trading knowledge is beneficial but not mandatory.
- Backtesting, risk modeling, or portfolio optimization experience is advantageous.