SO
Cross-Asset Structurer
Societe Generale
Publiée le
12/08/2026
Contrat
CDI · Inconnue
Localisation
Hong Kong, Hong-Kong
Taille équipe
Inconnue emp.
Rémunération
Inconnue
Missions clés
Origination of transactions / creation of new products and customisation of existing products in order to create scalable business
Profil recherché
Gestion de portefeuille · Communication · Google Cloud Professional · AWS Certified
Outils & compétences
Equity and Fixed Income product structuring, Ability to lead projects, Coordination efficiently with different stakeholders, Ability to draft / review complex trade documentation under different format (OTC, notes…), soft_skills_competences_techniques':[, certifications_гранжину`:null, green_job':true, teletravail_work_from_anywhere`:false, culture_tags':[
Le poste en détail
There is an open position at Societe Generale to join our APAC team of experienced individuals in structuring
This role is for a finance professionals who can bring:
Several years of experience in Equity and/or Fixed Income product structuring,
Ability to lead projects, coordinate efficiently with different stakeholders and execute complex transactions,
Ability to draft / review complex trade documentation under different format (OTC, notes…),
Appetite for business development and new product development,
Knowledge of China cross-border arrangements and/or financing trades (ISDA, GMRA, GMSLA, secured notes…) and/or SPV structuring (strong plus).
As part of the Solution Team within the Cross Asset Structuring team, you will support APAC Sales as follows.
Main missions are:
Origination of transactions / creation of new businesses:
Development of new products and customisation of existing products in order to create scalable business
Proactively pushing new product ideas to Sales
Obtaining internal approvals for new products, coordinating with different departments including Front Office (Sales and Traders) and Support Functions (Risk, Legal, Compliance, Tax, Operations, Accounting…
Support Sales in pitching clients
Monitor markets, discuss with Trading & Sales teams to identify market opportunities
Understand regulatory, tax and accounting environment applicable to certain markets or specific client segments and monitor their evolution
Execution of transactions:
Draft / review transaction documentation in accordance with SG internal standards
Ensure that transactions are compliant with SG business principles and SG internal rules
Obtain relevant validations from the various departments of the bank in accordance with the relevant procedures
Ensure scarce resources are properly used (liquidity, balance-sheet, LCR, NSFR…) and minimum profitability requirements are reached (ROE, ROA, RAROC…)
Ensure smooth operational delivery (settlement, valuation, secondary market…)
Support Sales in after sale service