Senior FRM Trader: Collateral & Capital Optimization

Bbva Sa

New York (NY)

On-site

USD 120,000 - 130,000

Full time

3 days ago
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Job summary

BBVA is seeking a Senior Trader for the FRM desk in New York to optimize collateral use and capital allocation within Global Markets. The role combines trading, quantitative analysis, and regulatory knowledge to enhance efficiency across collateral, initial margin, and balance-sheet decisions.

Applicants should have 3–4 years of Global Markets experience, strong knowledge of collateral/repo markets, and familiarity with CRR/EMIR regulations.

Qualifications

  • Degree in a quantitative or technical discipline.
  • 3–4 years of FRM/trading experience in Global Markets.
  • Knowledge of collateral management, repo markets, and capital optimization.
  • Understanding of CRR and EMIR regulations.

Responsibilities

  • Collateral management and optimization across Global Markets.
  • Develop Initial Margin optimization solutions for cleared derivatives.
  • Apply capital, liquidity and balance-sheet methodologies to pricing and trading decisions.
  • Support implementation of optimization methodologies across Global Markets.

Skills

Quantitative & Technical Skills
Programming skills
Analytical abilities

Education

Degree in Mathematics/Engineering/Physics or related

Tools

Murex
Calypso
STAR

Job description

BBVA is seeking a Senior Trader for the FRM desk in New York to optimize collateral use and capital allocation within Global Markets. The role combines trading, quantitative analysis, and regulatory knowledge to enhance efficiency across collateral, initial margin, and balance-sheet decisions.

Applicants should have 3–4 years of Global Markets experience, strong knowledge of collateral/repo markets, and familiarity with CRR/EMIR regulations.

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