
Posted 16 days ago
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Join the Global Markets FX trading team to support desk revenue and provide timely, accurate dealing services across TWD spot, FX swaps, RMB spot and G10 spot flows. The role involves booking trades to front office positions, reconciling regular reports, managing intraday risk within limits, and providing pricing and market commentary to sales and clients. You will maintain relationships with central bank and interbank traders, work closely with sales to capture flow, and support daily/weekly/monthly risk and financial reporting. Strong technical skills (Bloomberg, Refinitiv Eikon, Excel) and coding experience (VBA, Python) are required, with 3+ years handling TWD spot and swap flow preferred.
- Compensation
- Not specified
- City
- Not specified
- Country
- Not specified
Currency: Not specified
Full Job Description
Functional Description
Global Markets is part of our HSBC Corporate and Institutional Banking division, a markets-led, financing-focused business that provides investment and financial solutions. Our Markets business is one of the largest of its kind in the world. It combines sophisticated 24-hour global coverage with a detailed knowledge of local markets. Our services are offered both online and offline in 58 countries and territories. We specialise in foreign exchange, credits and rates, structured derivatives, equities and debt, equity and equity-linked capital markets.
- People Responsibility: N
- Report To: Alex Chen/Director, FX Trading Head
Role Purpose
-To assist FX trading ahead achieve yearly financial budget. To provide timely and accurate dealing services for clients in the assigned area. This role requires strong technical and market knowledge with more experience on TWD spot flow handling.
Job Content
-Take responsibility for TWD spot, FX swap, RMB spot, swap, G10 spot flow handling and risk management.
- To maintain excellent and firm relationships with CBC and interbank traders. And stay closely with Sales team to capture more business flow for the Bank.
- Ensure all traders are booked to front office position keeping system on the day they are executed.
- Reconcile daily, weekly and monthly reports, as assigned.
- Provide consistent and accurate pricing service to sales force and clients. provides market information and commentary to sales staff and regional team as well as guidance on transaction opportunities and market timing.
-Maintain a thorough knowledge of the product area including market liquidity and volatility, pricing and trading strategies.
-Support Trading desk daily/weekly/monthly risk management report and finical report.
-Effectively maintain various risk positions and manage within position limits, providing liquidity and trade ideas to clients while within set limits to help the trading team achieve a given revenue target.
Skills Requirements
-Technical Skills: Bloomberg, Refinitiv Eikon/Reuters, MS Excel, PowerPoint, Word,
- Computing : VBA, Python…
License/Qualification Requirement
-Experience on covering TWD spot flow over 3yr, including experience on TWD FX swap, RMB spot flow handling.
-Senior Securities Specialist (preferred)
※ Applicants passing resume screening will be notified for interview and next steps. There will be no further notification or message for applicants either not qualifying for or not being selected for the position applied.




