Join a leading global bank as a Money Market Trader, managing liquidity, risk exposure, and balance sheet optimization to ensure financial stability and regulatory compliance. This role is critical in aligning treasury strategies with global policies while supporting business growth in the Tokyo market.
Key Responsibilities
- Manage liquidity, funding, and risk exposure across multiple currencies, ensuring adherence to global treasury policies.
- Optimize balance sheet strategies while maintaining regulatory compliance and risk control.
- Monitor and manage interest rate and FX risk, contributing to financial stability.
- Conduct liquidity stress testing, contingency planning, and capital management for effective risk mitigation.
- Collaborate with finance, risk, and operations teams to align treasury strategies with business objectives.
- Provide financial insights and recommendations to support strategic planning and growth.
- Ensure smooth treasury operations by acting as a backup for key team members when required.
Required Skills and Qualifications
Experience:
- Minimum 5 years in treasury, liquidity management, risk management, or financial trading roles.
- Background in finance, trading, risk, or operations, preferably in banking or financial services.
Technical Skills:
- Strong analytical and financial modeling skills with high attention to detail.
- Proven ability to manage risk exposure in money markets or FICC trading.
Soft Skills:
- Strong problem-solving abilities with a proactive, adaptable, and team-oriented mindset.
- Excellent communication skills to collaborate effectively across functions.
Language Requirements
- Japanese: Native level (required for compliance and local operations).
- English: Business level (for internal and global communication).
Preferred Skills & Qualifications
- Experience as a Money Market Trader in a global bank.
- Knowledge of balance sheet management and liquidity strategies.
- Strong sense of risk management and regulatory compliance.
About the Company
Our client is a leading global bank with a strong presence in corporate and institutional banking, offering a comprehensive range of financial services across international markets. The firm is committed to innovation, financial stability, and long-term growth.
Why You'll Love Working Here
- Competitive salary and career growth opportunities in a global banking environment.
- Work with top-tier financial professionals in a dynamic and fast-paced market.
- Exposure to international financial markets, expanding your expertise in global treasury operations.
- A collaborative and innovative work culture that values expertise and leadership.
- Strong professional development and learning opportunities.
Don't Miss Out - Apply Now!
