Manage interest rate, volatility, and XCCY trade flows for a bank, collaborating with Treasury Markets Trading desks to execute timely risk management.
Key Responsibilities
* Develop market knowledge and stay up-to-date with economic data and events to inform hedging decisions.
* Structure, price, and execute trades directly with clients.
* Own trade lifecycle events, including booking, maintenance, unwinds, and restructures.
* Identify opportunities to improve, simplify, and automate processes.
* Develop analytics to assist risk management decision-making.
Requirements
* Strong analytical and detail-oriented skills, with knowledge of financial derivatives.
* Hold a STEM degree or analytical qualification.
* Excellent verbal and written communication skills, with ability to communicate with technical and non-technical audiences.
* Ability to adapt to varying project levels of difficulty and complexity.
* Good problem-solving and analytical skills.
* Experience with coding, including Python or VBA.