Key Accountabilities
- Ensure all activity is conducted within risk limits.
- Ensure behaviours are compliant with group and regulatory policy.
- Ensure timely and accurate booking of trades.
- Work effectively with local and global partners to achieve best outcomes
Job Duties & responsibilities
Assist with the timely and accurate execution of trades across Cross AssetFinancing (Repo, TRS, Bond Forward, Collateral Swap…) and Investment
Solutions (Market Access, Hedging & Balance Sheet Optimisation, Yield
Enhancement via various Derivatives / Structured Notes).
Proactively identify opportunities in conjunction with our partners intrading & structuring and market such opportunities to our clients.
Work closely with key stakeholders including Trading & Structuring,Coverage, Sales Management, Business Management and Operations.
Demonstrate eagerness to perform and gain responsibility and ownership.Proactive approach to problem solving and ability to perform well underpressure.
Proficiency in using Bloomberg, Excel (VBA), Word and PowerPoint.