Vice President, Investment (Public Markets) - Equity Trader (Cash & Derivatives) (London)
Temasek is a global investment company headquartered in Singapore, with a net portfolio value of S$434 billion (US$324 billion, €299 billion, £250 billion, and RMB2.35 trillion) as at 31 March 2025. Marking our unlisted assets to market would provide S$35 billion of value uplift and bring our mark to market net portfolio value to S$469 billion.
Our Purpose “So Every Generation Prospers” guides us to make a difference for today’s and future generations.
Operating on commercial principles, we seek to deliver sustainable returns over the long term.
We have 13 offices in 9 countries around the world: Beijing, Hanoi, Mumbai, Shanghai, Shenzhen, and Singapore in Asia; and Brussels, London, Mexico City, New York, Paris, San Francisco, and Washington, DC outside Asia.
For more information on Temasek, please visit
For Temasek Review 2025, please visit
For Sustainability Report 2025, please visit
Introduction
Temasek’s Public Markets team sits within the firm’s Investment Group and serves as the centralized execution trading unit across the Singapore and London offices. The team is responsible for managing global public markets trading and structuring activities across asset classes, providing coverage from Asia open through U.S. close. The team executes trades to implement investment strategies, manage and monitor risk, and enhance returns for Temasek’s global portfolio.
We are seeking an enterprising, detail-oriented, and collaborative team player to join our London team, working alongside the Singapore team, to support Temasek’s global investment and divestment activities. This role focuses on trading equities across both cash and derivatives, ensuring best-in-class execution and operational excellence across different regions.
This position is based in London.
Instruments include:
- OTC equity derivatives (single stock, ETF, index; vanilla and bespoke options, total return swaps)
- Listed options (including FLEX options) and futures
- Cash equities (including block, basket, and program trades)
- At times, there may also be a need to trade commodity futures and commodity options
Responsibilities
- Execute and manage positions across cash equities, OTC, and listed equity derivatives to implement tactical and strategic portfolio views
- Structure and price OTC derivative solutions aligned with investment objectives and risk management needs
- Deliver best execution and build trusted network of brokers and counterparties to gather timely market intelligence around single stock positions and broader markets
- Have a keen focus on transaction cost analysis benchmarks and implement ideas to quantify trading outperformance
- Liaise with portfolio managers, risk, and operations teams to ensure timely and accurate trade execution
- Support ongoing improvements to execution systems, trading processes, and best practices
- Prepare and present trade summaries, market updates, and performance reviews to internal stakeholders
- Contribute to the development of trading and portfolio execution capabilities, leveraging technology and data-driven execution strategies to enhance efficiency and scale
- Leverage AI tools to enhance day-to-day efficiency
- Provide guidance and mentorship to junior team members to build essential knowledge for success
- Around 8–10 years of experience in trading, with deep knowledge of equity derivatives and proven experience trading at least two of the following: OTC equity derivatives, listed options (incl. FLEX), futures, or cash equities. Exceptional candidates with less than 8 years of relevant experience may also be considered
- Experience spanning multiple product types is strongly preferred
- Strong understanding of equity derivatives pricing, hedging, and market microstructure in equity markets
- Familiarity with execution management and trading systems
- Excellent attention to detail, strong risk discipline, and operational control mindset
- Proactive, enterprising, and collaborative, able to operate effectively in a multi-time-zone environment
- Strong communication and analytical skills; programming familiarity (Excel/VBA/Python) advantageous but not essential
- Strong willingness to leverage AI to improve work efficiency
Qualifications
- Bachelor’s degree or higher in Finance, Economics, Engineering, or a related discipline
- Solid knowledge of OTC and listed equity derivatives, including documentation and trade lifecycle
- Familiarity with ISDA documentation preferred
- Full-time, position based in London
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