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Benefits offered by this job
Competitive salary
Annual discretionary incentive award
Comprehensive benefits package
Job summary
A leading global financial group is seeking a Trading Risk and Control professional for its Capital Markets team in New York. The role requires an individual with a strong background in financial engineering or finance, focusing on interest rate derivatives. Responsibilities include daily portfolio valuation, understanding market impacts, and interaction with a diverse team. Candidates must have at least 5 years of experience in Fixed Income, with proficiency in Python and Excel VBA. This position allows for a hybrid work arrangement, balancing remote and office work.
Qualifications
5 years of work experience in Fixed Income required.
Deep understanding of greeks, mark to markets, and pnl attribution.
Excellent communication skills and teamwork.
Responsibilities
Understand global financial markets and follow market movements.
Daily valuation of the CM derivatives portfolio.
Proactively investigate and resolve trade discrepancies.
Skills
Financial Engineering
Finance
Computer Science
Python
Excel VBA
Education
Undergraduate or Master's Degree
Job description
A leading global financial group is seeking a Trading Risk and Control professional for its Capital Markets team in New York. The role requires an individual with a strong background in financial engineering or finance, focusing on interest rate derivatives. Responsibilities include daily portfolio valuation, understanding market impacts, and interaction with a diverse team. Candidates must have at least 5 years of experience in Fixed Income, with proficiency in Python and Excel VBA. This position allows for a hybrid work arrangement, balancing remote and office work.