Assistant Vice President, Regional Fixed Income Specialist - Advisory and Execution

Employer
Citi
Location
Singapore, Singapore
Salary
Competitive
Posted
30 Jul 2022
Closes
29 Aug 2022
Ref
16124529
Job Function
Trading
Industry Sector
Finance - General
Employment Type
Full Time
Education
Bachelors
Responsibilities:
  • Drive the Fixed Income business and revenue growth across Asia and EMEA.
  • Deliver quality investment advice, product recommendations and strategy to meet the diverse needs / objectives of retail clients across jurisdictions.
  • Ensure professional dealing standards, conduct effective and efficient execution, and deliver adherence to regulations for proper execution.
  • End-to-end product management including product advice / recommendations, sourcing, pricing, execution, approvals, product and business development, problem resolution, proper product delivery (process, disclosures, risk & control), training and after-sales support.
  • Drive investment solutions and idea generation, product and delivery channel innovation with good follow through to execution.
  • Streamline processes and develop system solutions to improve efficiency and effectiveness of the desk in all aspects of product cycle management and product delivery.
  • Ensure all internal (Citibank Directive & Policy) and external (Law and regulations across jurisdictions) control / compliance requirements are met.
  • Build valued internal and external working partnerships with diverse functions, stakeholders, counterparties and effectively leverage these partnerships to provide leading / competitive product and service on a timely basis.


Qualifications:
  • 5-8 years capital market experience. Experience in fixed income securities or structured products would be an advantage.
  • Degree(s) in relevant subject such as business administration, finance, economics, mathematics, engineering, physical science. CFA qualification/part qualification or MBA is an advantage.
  • Strong knowledge of the fixed income products industry, securities products and portfolio management theory.
  • Mathematically talented with good grasp of risk, including implications of credit risk factors for proper risk management.
  • Excellent communication skills and demonstrated ability to work with multiple partners and stakeholders.
  • Well organized, disciplined approach to work with a high level of attention to detail.
  • Robust understanding of trading analytics and data analysis.
  • High energy and ability to multitask in a demanding, fast-paced environment.
  • Strong work ethic with high level of self-motivation.
  • Advanced excel and power-point skills and high computer literacy skills is a must. Macro and Python is a plus.
  • Solid Bloomberg , system and technology skills.


Job Family Group:
Institutional Trading

Job Family:
Trading

Time Type:
Full time

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