Interest Rate Derivatives Analyst, Capital Markets

Jobtailor

New York (NY)

On-site

USD 90,000 - 140,000

Full time

10 days ago
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Job summary

PNC is seeking a results‑driven professional to support the derivatives desk, focusing on interest rate hedging for corporate clients in a fast‑paced environment. You will assist in marketing, trade execution, and client onboarding, while building market commentary and analytics for risk management decisions.

Ideal candidates have 2+ years in derivatives, fixed income, or capital markets, with strong analytical and communication skills and proficiency in Excel and PowerPoint.

Qualifications

  • Derivatives and fixed income market experience
  • Familiarity with ISDA terms and credit risk concepts (CVA/DVA/FVA)

Responsibilities

  • Support marketing and execution of interest rate hedging solutions for corporate clients
  • Generate trade ideas and prepare marketing materials and pitch books
  • Prepare market commentaries and perform swap portfolio analytics and peer analyses
  • Assist in client onboarding, including trade confirmations and ISDA documentation
  • Coordinate internal approvals with credit, legal, settlements and partners
  • Collaborate with Trading, Corporate Banking, and Capital Markets teams
  • Support business development and client relationship management
  • Assist in financial analyses, research and reporting for capital markets transactions
  • Monitor industry and market knowledge and ensure regulatory compliance

Skills

Derivatives
Fixed Income
Interest Rate Derivatives
Swaps
Swaptions
CVA
DVA
FVA
ISDA Documentation
Communication Skills
Analytical Skills
Problem-Solving Abilities
Attention to Detail
Organizational Skills

Education

SIE
Series 7
Series 52
Series 63
Series 79

Tools

Microsoft Excel
Microsoft PowerPoint

Job description

PNC is seeking a results‑driven professional to support the derivatives desk, focusing on interest rate hedging for corporate clients in a fast‑paced environment. You will assist in marketing, trade execution, and client onboarding, while building market commentary and analytics for risk management decisions.

Ideal candidates have 2+ years in derivatives, fixed income, or capital markets, with strong analytical and communication skills and proficiency in Excel and PowerPoint.

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