Description
We are currently seeking an experienced professional to join the Markets Treasury team. Markets Treasury sits at the heart of HSBC and acts as the Street-facing arm of the Treasury function. The team's priorities are:
- Manage HSBC's cash, liquidity and funding for 45+ sites globally
- Manage HSBC's overall High-Quality Liquid Assets (HQLA)
- Manage HSBC's short-term funding requirements
- Manage HSBC's interest rate positions of the banking book
- Generate stable and significant revenues by optimizing return on interest rates and HQLA
The ideal candidate will have:
- Strong analytical background with a proven track record of high-quality analysis, excellent problem-solving skills and strong attention to detail
- Demonstrated interest in AI, digital tools and new ways of working; strong programming/modelling skills (e.g., VBA, Python) with the ability to build and maintain robust models
- Strong interpersonal skills, including experience preparing materials for senior audiences
- Effective team player with strategic thinking, a proactive 'can-do' approach and confidence to challenge the status quo constructively
- Broad knowledge of, and genuine interest in, financial markets and economics
- Familiarity with Fixed Income, interest rate derivatives, cross-currency swaps, and FX swaps
- Understanding of capital, liquidity, funding, and structural interest rate risk
As an employee, you will be required to perform your duties in a professional capacity exercising independent judgement, discretion and decision-making authority. You will represent the organization with relevant internal and external stakeholders.
This listing is enriched and indexed by YubHub. To apply, use the employer's original posting:
https://portal.careers.hsbc.com/careers/job/563774612291268