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10 дней назад

EMEA Financing Trader

Формат работы
hybrid
Тип работы
fulltime
Грейд
middle
Английский
b2
Страна
UK
Вакансия из списка Hirify.GlobalВакансия из Hirify Global, списка международных tech-компаний
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Описание вакансии

Текст:
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TL;DR
EMEA Financing Trader (Repo and Secured Financing): Executing and managing repo, reverse repo, and other secured financing transactions across a global investment platform with an accent on government bonds, credit repo, collateral dynamics, and dealer balance-sheet capacity. Focus on optimizing portfolio financing, sourcing collateral and financing capacity, managing liquidity and counterparty risks, and improving execution through electronic trading, data, and automation.

Location: London, United Kingdom; based in the London office four days a week with flexibility to work remotely one day a week.

Company

hirify.global is a private-partnership investment management firm providing investment solutions across global capital markets for institutional clients in more than 60 countries.

What you will do

  • Execute and manage repo, reverse repo, and other secured financing transactions across the global investment platform.
  • Optimize portfolio financing by analyzing repo pricing, financing curves, collateral scarcity, term funding, and dealer balance-sheet capacity.
  • Build relationships with dealers and financing-market participants while collaborating with portfolio managers, analysts, and traders.
  • Source financing capacity and collateral, identify specials, and communicate actionable market intelligence.
  • Manage liquidity, collateral, counterparty, settlement, and operational risks associated with financing activity.
  • Support electronic repo trading, central clearing, collateral optimization, automation, and data-driven improvements to execution quality.

Requirements

  • At least 2 years of relevant repo or secured financing trading or sales experience in G10 markets.
  • Strong understanding of repo, reverse repo, general collateral, specials, financing curves, term structures, and collateral mechanics.
  • Experience with government bonds, agencies, supranationals, or credit financing is beneficial.
  • Strong analytical, communication, relationship-building, and risk-management skills.
  • Interest in technology and experience with Python, SQL, or other analytical tools.
  • Integrity, fiduciary judgment, self-direction, and strong attention to controls and operational precision.

Culture & Benefits

  • Collaborative culture that encourages independent thought and healthy debate.
  • Access to an internally developed trading technology platform.
  • Support from quantitative, business, and management analysts.
  • Flexible hybrid arrangement with one remote working day per week.
  • Commitment to in-person interactions and a diversified workforce.

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