About the job

Reporting to the Head of Treasury, you will manage cash flows, liquidity and interest rate risk while generating revenue for the Bank.

You will perform lending/ borrowing, FX swaps and interest rate derivative transactions in accordance to the banks’ asset liability position. You will formulate and provide competitive daily loan and deposit prices to the business units.

  • University degree in Business or Finance
  • At least 3 years of relevant work experience in the money market, preferably in an active dealing room
  • Proficient in computer applications such as Bloomberg and Excel
  • Self-motivated with strong communication, interpersonal and analytical skills
  • Good command of both spoken and written English and Chinese, including Mandarin


Submit your application to quoting the Job Title.

Your interest will be treated in strict confidence.

Data collected will be used for recruitment purposes only. Personal data provided will be used strictly in accordance with the relevant data protection law and WMRC’s personal information and privacy policy.