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Treasury Trader (FX, Interest Rate & Fixed Income Trading)

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GREENLANE PRIVATE LTD.

Hauppauge, NY (In Person)

$92,474 Salary, Full-Time

Posted 1 week ago (Updated 6 days ago) • Actively hiring

Expires 8/1/2026

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Job Description

GREENLANE PRIVATE LTD. RECRUITERTYPICALLY REPLIES IN 30 DAYS
for
GREENLANE PRIVATE LTD.
Treasury Trader (FX, Interest Rate & Fixed Income Trading)
MCF-2026-1108104
Islandwide Permanent Professional 2 years exp Banking and Finance $6,000to$8,000 Monthly 10 applicationsPosted 29 Jun 2026Closing on 29 Jul 2026 Roles & Responsibilities Job Responsibilities Execute trading activities in foreign exchange (FX), interest rate derivatives, and fixed-income instruments. Manage FX and derivatives-related net open positions in accordance with risk limits and internal policies. Provide timely, competitive, and accurate market quotes to clients and the front office, while actively managing trading positions and responding to market movements. Monitor global financial markets and conduct research and analysis to support trading strategies and investment decisions. Provide day-to-day operational support to ensure efficient departmental workflows and effective transaction processing. Prepare periodic reports, presentations, and documentation for the Singapore Branch and Head Office in a timely and accurate manner. Collaborate with cross-functional teams to ensure adherence to risk management frameworks, internal controls, and regulatory requirements. Support client marketing initiatives in collaboration with front office teams by providing market insights, analysis, and relevant product insights. Attend client meetings to deliver market updates and relevant product insights, thereby supporting client engagement and business development activities. Deliver administrative support and undertake additional duties as assigned by the Department Head and Management from time to time. Requirements Recognised Bachelor's degree or above, preferably in Economics, Finance, Statistics, or other related disciplines. Minimum 2-3 years of relevant experience in treasury dealing functions, including FX derivatives, interest rate derivatives, and fixed income investments. Good product knowledge in FX (Spot, Forwards, Swaps, NDF and options); familiarity with rates products is a plus. Strong understanding of FX markets, macro drivers, and market microstructure. Proven track record in FX sales and client relationship management is a plus. Effective communication and coordination skills to liaise with clients, Head Office (HO), internal departments, and external counterparties. Relevant MAS licenses (FMRP, CM-EIP, RES 1A/2B). Proficient in trading platforms such as Refinitiv and Bloomberg. Strong discipline in execution and risk management.