Wise

Finance / FinServ

MarketsAssociate

singapore FULL TIME
Market Sentiment
HIGH DEMAND

Neural analysis suggests this role is
optimal for mid candidates.

The Brief

“Markets Associate at Wise. Skills: FX risk management, Hedging strategies, Treasury Markets, Liquidity trades, Cross-Correlation Strategy, Asian FX, Fixed income products. Manage group-wide FX risks. Manage liquidity trades”

What You'll Achieve.

Identify and implement yield generating opportunities; Enable customer flow; Optimise funding accounts in APAC; Negotiate prices and optimise trades; Improve dealing approach, policies, controls, and systems; Yield optimisation across fixed income products; Ensure efficient risk management; Automate risk management strategies; Enhance control frameworks

Industry & Context.

Finance / FinServ
Problems you'll solve

Open approach to problem solving in a fast paced environment

What They're Looking For.

Must Have

Experience in a buy/sell side FX dealing environment, Experience managing customer flow across a broad range of currencies, Confident dealing spot, forwards & swaps to manage live exposures, Good communication skills to maintain and grow relationships with our banks and counterparties

Nice to Have

Experience managing customer flow across a broad range of currencies, in particular with Asian FX is an added advantage, Experience dealing NDFs an added bonus, Proficient prioritiser, Ability to absorb large quantities of detail quickly and communicate complex ideas to various crowds, Open approach to problem solving in a fast paced environment, Experience or interactions in the payments industry/fintech space, Experience with settlements and operating teams will be valuable, Experience with Asset Management execution (Bonds, MMFs etc), Finance / Science / Engineering / Maths graduate preferred, Excel, VBA, coding a bonus

What You'll Do.

Manage group-wide FX risks

Manage liquidity trades

Focus on hedging activities

Develop new tooling and hedging strategies for FX risk management

Optimise funding accounts in APAC

Manage relationships with international banks and counterparties

Improve dealing approach

Provide analysis and reporting on dealing activities

Yield optimisation across fixed income products

Support new currency and product launches

Ensure efficient risk management

Automate risk management strategies

Enhance control frameworks

How You'll Work.

Team & Collaboration

Work closely with our Data Science team; Collaborate with Treasury Liquidity Operations; Collaborate with product and risk teams

Communication Scope

Good communication skills to maintain and grow relationships with our banks and counterparties; Communicate complex ideas to various crowds

Process & Methodology

Manage projects

Full Job Description

Wise is a global technology company, building the best way to move and manage the world’s money. Min fees. Max ease. Full speed. Whether people and businesses are sending money to another country, spending abroad, or making and receiving international payments, Wise is on a mission to make their lives easier and save them money. As part of our team, you will be helping us create an entirely new network for the world's money. For everyone, everywhere. More about [our mission](https://wise.jobs/our-mission) and [what we offer](https://wise.jobs/what-we-offer). As a Treasury Markets Associate joining the Treasury Markets team in Singapore. You will have the opportunity to manage Wise’s portfolio of currency risk, develop hedging strategies as well as be involved in broader Treasury markets risk management functions. You will also have the chance to work with our Cash and Asset Management team to identify and implement yield generating opportunities as well as product teams to enable customer flow. Depending on your experience the role on offer is either for a Treasury Markets Associate or Senior Markets Associate Your Mission: * Manage group-wide FX risks, liquidity trades and projects as part of a Global Markets Team * Dedicated focus on hedging activities including our in-house Cross-Correlation Strategy across FX products in the APAC timezone * Work closely with our Data Science team to develop new tooling and hedging strategies for FX risk management * Collaborate with Treasury Liquidity Operations to optimise funding accounts in APAC * Manage relationships with international banks and counterparties across APAC, negotiating prices and optimising trades * Participate in initiatives to improve dealing approach, policies, controls, and systems * Provide analysis and reporting on dealing activities, working closely with the cash and asset management team for yield optimisation across fixed income products * Support new currency and product launches, ensuring efficient

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