Job Description
Responsibilities
- Price, execute, and manage positions in cross-currency swaps, basis swaps and related FX derivative products
- Manage funding and hedging positions arising from client transactions, bond issuances, and interbank activities
- Analyze basis spreads, interest rate differentials, and cross-currency yield curves
- Support sales in pricing structured products or client hedges involving cross- currency elements
- Attends seminars, briefings, talks to enhance trading knowledge and competency; and perform other duties that may be assigned by the Non-Linear Trading Desk Head
- To uphold the Professional and Ethical standards of the Bank and the BAP-Code of Ethics.