14 дней назад
Repo Trader - Analyst (Securities Finance)
Мэтч & Сопровод
Для мэтча с этой вакансией нужен Plus
Описание вакансии
Текст:
TL;DR
Repo Trader - Analyst (Securities Finance): Managing short-term repo transactions and financing and liquidity needs across European Government Bonds and other fixed income securities with an accent on pricing, collateral, balance-sheet usage, and risk monitoring. Focus on analysing repo rates and relative-value opportunities, responding to Sales requests, and improving analytical tools and trading workflows.
Location: Boadilla del Monte, Spain; hybrid working model with some days remote and some days onsite
Company
Corporate & Investment Banking supports corporate and institutional clients with customized wholesale financial products and services.
What you will do
- Execute and manage short-term repo transactions across European Government Bonds, including General Collateral and later Specials.
- Provide market levels and pricing indications in response to requests from Sales and internal stakeholders.
- Manage client and bank financing and liquidity needs, including funding, collateral, and balance-sheet optimization.
- Monitor repo rates, liquidity, market conditions, supply and demand, and identify relative-value and funding opportunities.
- Monitor market, liquidity, counterparty, and settlement risks while coordinating with Trading, Sales, Risk, Middle Office, and Operations.
- Contribute to analytical tools, data processes, and trading workflow improvements.
Requirements
- Previous experience or exposure to financial markets, including Trading, Sales, Risk, Middle Office, Treasury, Securities Finance, Fixed Income, or another related function.
- Bachelor’s or Master’s degree in Finance, Economics, Business Administration, Engineering, Mathematics, or a related quantitative discipline.
- High-level English and Spanish required.
- Strong understanding of financial markets, analytical and numerical skills, and data management capabilities.
- Advanced Excel knowledge and the ability to make decisions and prioritize effectively in a fast-paced environment.
- Strong interest in Fixed Income, Securities Finance, and Repo markets, with effective communication across Sales, Trading, and internal teams.
Nice to have
- Trading experience.
- Knowledge of Python, VBA, SQL, or other data analysis tools.
Culture & Benefits
- Hybrid work with flexible hours.
- Global opportunities, broad career paths, and access to hundreds of learning courses through Open Academy.
- Competitive salary with performance-based bonuses.
- Preferential banking terms, special loan rates, life insurance, wellness programs, and family support.
- Additional benefits including gym membership, medical centers at some facilities, meal subsidy, parking, Madrid shuttle service, and employee discounts.
Hiring process
- Submit an application for consideration.
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