About the Firm
Morgan Stanley (NYSE: MS) is a leading global financial services firm providing a wide range of investment banking, securities, wealth management and investment management services. With offices in 42 countries, the firm’s employees serve clients worldwide including corporations, governments, institutions and individuals. For further information about Morgan Stanley, please visit www.morganstanley.com.
About the Division
Corporate Treasury provides corporate finance advisory service to senior management and internal business units. It also optimizes the Firm's liquidity and capital base, manages the Firm's foreign exchange and interest rate exposure, and coordinates relationships with regulators, rating agencies, and creditors.
As a member of Corporate Treasury, you will be supporting Treasury activities across the Asia region. The role is based in Hong Kong however will involve working closely with teams across Singapore, London, and New York. In particular, you will have regular and direct interactions with the Global Treasury team, Risk, Operations, other Finance Groups, IT and the business units.
Treasury Capital Markets team is the markets facing function of Corporate Treasury. TCM raises liabilities for the firm via debt issuance and manages the associated hedging along with the liquidity reserve investments.
Key Responsibilities
Bank funding execution and FX/IR risk management Risk manage the Bank's High Quality Liquid Assets (HQLA) investments, and working capital across all currencies Day to day execution of reverse repurchase agreements, Foreign Exchange (FX) swaps, manage the mix of reserves to comply with internal liquidity risk frameworks as well as regulatory requirements across Hong Kong and Singpaore Responsible for daily trader risk and PnL sign-off on positions Engage with Business Units, Risk Management, Finance and Operations stakeholders on FX/Interest Rate movements, client flows, loan/deposit growth strategy.
Coordinate projects and initiatives for Treasury Capital Markets Provide trader coverage on structuring, pricing, and risk managing intercompany debt instruments Coordinate with projects team on bug fixes to support adoption of real-time T0 monitoring tools for Asia region with the help of Quantitative Strategists, Technology, and Controller teams Enhance desk activity dashboards to strengthen/automate risk monitoring capabilities for the region, leveraging global toolkit Build effective working relationships with senior stakeholders within Corporate Treasury as well as Firm Risk Management, ISG Business Units, Bank Resource Management, Finance, Operations and Technology
Qualifications, Skills & Requirements
Min. 2 years of working knowledge in Asset Liability management for a bank entity
Having passed the Singapore Financial Markets Regulatory Practices (FMRP) Examination will be a plus
Excellent quantitative and qualitative analytical skills, with a keen interest in currency and money markets
Ability to work independently and multi-task in a fast-paced environment, whilst keeping attention to detail
Motivation as risk owner to ensure smooth day-to-day execution coverage
Excellent communication and interpersonal skills for interaction with teams across global offices
Strong project management and organization skillset to move initiatives forward with cross-divisional teams
Diversity of thought
Job: *Finance
Title: Associate/Director (AVP) - Treasury Capital Markets
Location: Non-Japan Asia-Hong Kong-Hong Kong-Hong Kong
Requisition ID: 3245789