Key Skill Areas & Knowledge Required
Strong written and verbal communication (and presentation) skills
Fluency in English
Thorough knowledge of financial derivatives and the related mathematics
Understanding of risk and trading implementation strategies
Experience in Trading/ Structuring/ Pricing in Equity or Cross-Asset derivative products is an advantage
Proficiency in coding languages such as Python and/or Excel VBA would be advantageous
Undergraduate/ Master’s Degree in Mathematics, Finance, Economics, or related disciplines
At least 3 years market experience on the sell side or buy side
Societe Generale is one of the leading European financial services groups. Founded in 1864, we have been playing a vital role in the economy for over 150 years. With more than 148,000 employees based in 76 countries worldwide, we accompany 32 million clients throughout the world on a daily basis. Based on a diversified universal banking model, the Group combines financial strength with a strategy of sustainable growth.
ASIA-PACIFIC (ASIA), as one of the Business Units of Societe Generale, operates in 12 locations across the Asia Pacific region, employing over 2,500 employees with the regional headquarter located in Hong Kong. Our activities here are centered on Societe Generale's Global Banking & Investor Solutions pole (GBIS), a major growth engine for the Group and a key pillar of Societe Generale's universal banking model. Our expertise in Asia Pacific ranges from Corporate & Investment Banking (Advisory, Financing and Global Markets) to Asset Management, Global Transaction Banking and specialised financial services like Equipment & Vendor Finance and Vehicle Leasing & Fleet Management. In addition, Societe Generale's Global Solution Centre (SGGSC) in Bangalore and Chennai offers customised business solutions to the Societe Generale Group globally including ASIA.