Financial markets professional with hands-on experience supporting trading desk operations across foreign exchange, commodities, and equities markets within brokerage and proprietary trading environments. Experienced in monitoring real-time market developments, analysing macroeconomic drivers, and supporting trade execution workflows across derivatives and global listed securities. Background includes direct exposure to trading desks, equity sales operations, and brokerage platforms, combined with strong client engagement experience supporting active traders and investors. Actively track macroeconomic indicators, market volatility, and currency strength to interpret cross-asset market movements. Currently pursuing an MBA in Finance to deepen expertise in capital markets, risk management, and institutional trading environments. Seeking opportunities to contribute analytical insight and disciplined market awareness within professional trading or sales trading teams.
Jinghui Yeo
Associate - Trading Desk | GX 5 Private Limited
Summary
Education
- Coventry University | PSB Academy Singapore Master of Business Administration in Finance, Finance Grade : Corporate Finance & Valuation: Understanding capital budgeting, cost of capital, financial modelling, valuation techniques and investment decision frameworks. Risk Management & Portfolio Theory: Application of modern portfolio theory, risk measurement (VaR, stress testing), hedging strategies and asset allocation. Financial Reporting & Strategic Decision-Making: Advanced interpretation of financial statements, ratio analysis and linking financials to business strategy. Economic & Market Dynamics: Macro and microeconomic drivers of markets, interest rate impacts, monetary policy and global financial cycles. Ethics & Governance in Finance: Regulatory frameworks, corporate governance principles and ethical decision-making in financial services. Nov 2025 - Present
- Coventry University | PSB Academy Singapore Master of Business Administration in Finance, Finance Grade : Corporate Finance & Valuation: Understanding capital budgeting, cost of capital, financial modelling, valuation techniques and investment decision frameworks. Risk Management & Portfolio Theory: Application of modern portfolio theory, risk measurement (VaR, stress testing), hedging strategies and asset allocation. Financial Reporting & Strategic Decision-Making: Advanced interpretation of financial statements, ratio analysis and linking financials to business strategy. Economic & Market Dynamics: Macro and microeconomic drivers of markets, interest rate impacts, monetary policy and global financial cycles. Ethics & Governance in Finance: Regulatory frameworks, corporate governance principles and ethical decision-making in financial services. Nov 2025 - Present
Experience
- Associate - Trading Desk GX 5 Private Limited Jan 2024 - Present • 2 yrs 5 mos
Supported proprietary trading desk operations by monitoring real-time market movements across foreign exchange and commodities markets during active trading sessions. Assisted traders in analysing price action, liquidity conditions, and macroeconomic catalysts affecting market volatility and trading opportunities. Contributed to trade execution workflows including order coordinations, trade confirmations, and post-trade documentation to ensure accurate execution processes. Monitored macroeconomic indicators such as central bank policy developments, inflation data releases, and major economic announcements impacting cross-asset markets. Maintained internal trading records and position monitoring reports to support risk oversight and portfolio tracking. Collaborated with traders to review market conditions, identify potential risks, and support disciplined trading practices aligned with defined risk parameters.
- Analyst - Trading Execution (CFDs, Commodities & G10 Foreign Exchange) GMSC Pte. Ltd. Sep 2022 - Dec 2024 • 2 yrs 4 mos
Assisted trading desk operations by monitoring live market data and price movements across commodities and major foreign exchange pairs within the CFD trading environment. Conducted market observation and analysis of macroeconomic drivers including interest rate expectations, USD strength (DXY), and global risk sentiment. Supported execution processes by coordinating trade documentation, execution workflows, and internal reporting during active trading periods. Monitored market volatility and liquidity dynamics to help traders assess short-term trading conditions and risk exposure. Maintained accurate trade records and participated in post-trade review and processes to evaluate execution efficiency and trading performance.
Skills
- Financial MarketsExpert
- Foreign Exchange (FX), Commodities, Equities, Derivatives, CFDsExpert
- Market AnalysisExpert
- Macroeconomic Analysis, Volatility Monitoring, Price Action Observation, Cross-Asset Market MonitoringExpert
- Technical ToolsExpert
- Microsoft Excel, Market Data Monitoring, Financial ResearchExpert
Languages
- EnglishNative speaker
- ChineseNative speaker
Certifications
- Capital Markets Certifications The Association of Banks in SingaporeIssued • Expired Feb 2026
- Market Data Studies QuantInstiIssued • Expired Jan 2026