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The Corporate Institute in Mumbai seeks an experienced Fixed Income Trader to manage an Indian G‑Sec portfolio and related derivatives. The role requires crafting views on the yield curve, spreads, and macro factors, and actively converting views into portfolio positions.
Ideal candidates will have 5–12 years in fixed income markets, with a focus on Indian rates, G‑Sec dynamics, and derivative strategies to hedge risk and generate alpha.
Job Description:
Position: Fixed Income Trader G-Sec & Rates Derivatives
Department: Treasury / Fixed Income & Derivatives
Experience: 5 – 12 years
Location: Mumbai
Employment Type: Full-time
About the Role:
We are looking for an experienced Fixed Income / Rates Trader to join our trading desk and actively manage an existing Indian Government Securities (G-Sec) portfolio, along with positions in Fixed Income Derivatives.
The role requires a strong understanding of the Indian interest-rate market, G-Sec yield curve dynamics, term spreads, monetary policy, liquidity conditions, macroeconomics and geopolitical developments.
The ideal candidate should be more than an execution-oriented dealer. We are looking for someone who can form independent views on the yield curve and identify trading opportunities across maturities and instruments, particularly through 10Y30Y and 10Y40Y spread strategies.
The candidate will be expected to convert macro and market views into actionable portfolio positioning and actively manage risk.
For example: