Marissa Ng

Marissa Ng

Intern

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  • Timeline

  • About me

    Director, Treasury Markets Credit - Portfolio Manager

  • Education

    • Catholic Junior College

      2011 - 2012

      Activities and Societies: Public Speaking Club

    • National University of Singapore

      2013 - 2017
      B.Soc.Sci (Hons) Economics

      Activities and Societies: NUS Toastmasters, BreakiNUS

  • Experience

    • ICAP

      May 2014 - Jul 2014
      Intern

      • Rotated around the departments for two months – Front Office (Money Broking), Operations (Settlements), Compliance, E-commerce, Finance• Tasked with compliance duties at the Compliance department, processed client risk profiles for the incoming clients of the company• Created a spreadsheet that was the basis of a new project in tracking the new BrokerTec system and its progress

    • National University of Singapore

      Jun 2015 - Jul 2015
      Research Assistant

      • Worked with Aiddata for 6 weeks to code projects into their database• Projects were based on Official Development Assistance (ODA) and other forms of developmental aid that China provided to the South Asian and South East Asian countries• Web Scraping for the Chinese Embassy websites, as well as Chinese searches to add projects to the database

    • OCBC Bank

      Dec 2015 - Jul 2016
      Credit Trading Intern

      - Carried out research on the CNH bond market, European Bank regulation, Basel III and Japanese shipping companies, and produced primers for each industry- Designed a framework and did a comparables analysis of the metals and mining industry from a bond trading perspective- Designed a framework for comparables analysis of Japanese shipping companies to aid in trading credit default swaps- Brief desk during morning call on major asset class movements and events from previous trading day- Carried out capital structure analysis on potentially distressed companies in Singapore- Created an SGD Bond Index Show less

    • Standard Chartered Bank

      May 2017 - Jul 2017
      Financial Markets Intern
    • Standard Chartered Bank

      Jan 2018 - now

      • Currently manage a credit portfolio – investment grade long-only book mandated to trade ABS, bank capital paper, corporate bonds, government bonds, credit default swaps, and interest rate swaps.• Actively manage interest rate risk in the portfolio through interest rate swaps and credit risk through single name and index credit default swaps. • Built financial models to forecast impact to the bank's capital and leverage ratios under scenarios of market stress and the impact to FVOCI, which guides portfolio strategy. Used in aligning the portfolio to the bank's strategy. Show less

      • Treasury Markets, Credit

        Jul 2019 - now
      • International Graduate

        Jan 2018 - Jul 2019
  • Licenses & Certifications

    • Passed Level I of the CFA Program

      CFA Institute