Structured Credit Trading Analyst

Atlas Sp

Northern, New York (KY, NY)

Hybrid

USD 90,000 - 110,000

Full time

7 days ago
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Benefits offered by this job

Discretionary annual bonus

Job summary

ATLAS SP Partners is seeking an Analyst to support the growth of its Atlas Secondary Trading platform, focusing on Non-Agency RMBS and ABS. You will assist the Trading desk and Sales & Distribution in expanding liquidity and market clarity for institutional clients.

The role involves trade capture, bond cash flow analysis, hedging evaluation, and building strong relationships with banks, asset managers, and other market participants while ensuring compliance and risk controls.

Qualifications

  • Bachelor’s degree in finance, economics, business, or related field.
  • 1–2 years of securitized products trading or related institutional markets experience.
  • Understanding of structured credit, asset-backed finance, warehouse lending, and financing transactions.
  • Excellent communication, presentation, and negotiation skills.

Responsibilities

  • Provide clients with market color, relative value analysis, and trading opportunities.
  • Support secondary market transactions and hedging trades.
  • Develop modeling, market analysis and market commentary with Trading.
  • Monitor market developments, spreads, issuance activity, and investor flows.
  • Maintain client relationships and communicate market intelligence to senior teams.
  • Support transaction structuring, investor outreach, pricing discussions, and execution.

Skills

Securitized products trading
Capital markets
Communication skills
Negotiation

Education

Bachelor's degree in finance, economics, business, or related field

Tools

Bloomberg
Intex
MarketAxess
Tradeweb

Job description

ATLAS SP Partners is seeking an Analyst to support the growth of its Atlas Secondary Trading platform, focusing on Non-Agency RMBS and ABS. You will assist the Trading desk and Sales & Distribution in expanding liquidity and market clarity for institutional clients.

The role involves trade capture, bond cash flow analysis, hedging evaluation, and building strong relationships with banks, asset managers, and other market participants while ensuring compliance and risk controls.

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