logo inner

Liquid Credit - Trader

Description


A leading alternative investment manager is looking to expand the team through the addition of a Junior Equity and or Equity Derivatives Trader. In this role, this individual will work with the Investment team internationally.  Ideal candidates will be organized, self-motivated, resourceful and able to work effectively with all internal functional groups.   Responsibilities:-          Provide risk and market risk analysis and oversight to internal and external derivatives and securities finance platforms including Global Arbitrage & Trading, Fixed Income & Currencies and Equities;.-          Transaction cost analysis projects and other quantitative research projects associated with the trading and investment management process;-          Analyze securities finance and derivative transactions in the context of counterparties' overall trading and investment strategies;-          Familiarity with OTC derivative products including equity swaps/Options ( OTC and exchange), credit derivatives, FX forward contracts and securities finance and Repos;-          Perform pre-trade data quality check; monitor portfolio risk; monitor corporate actions and other adjustments to the group’s portfolios;-          Understanding of Standing Orders and Policies: SO Series 6 - Securities.

Finance and SO Series 7 - Trading Credit Risk Management and, Loans, and Collateral Securities; Relevant qualifications for APAC exchanges-          Understanding of major Asian Equity markets ( HK/China/Australia/Japan/Korea).-          Understanding of trading documentation including the ISDA Master Agreement; Inclusive of Equity swaps/CFDs-          Understanding of securities regulations governing mutual funds, hedge funds, pension funds and other institutional counterparties;

Requirements


The individual will have demonstrated an ability to work in a fast-paced, performance-driven environment with an ability to think broadly about the business, incorporating continual improvement of processes and procedures with a goal of excellence while focusing on accuracy and efficiency.-          BA (or equivalent) with finance or economic focus;  ideally quantitative or accounting undergrad-          Experience with merger arb/relative value trade execution-          Ability to execute basic credit/bond transactions-          Basic risk arbitrage analytics maintenance-          Knowledge of convertibles, bonds, bank debts, CDS, derivatives, options, etc.

and related documentations;-          Understanding of credit risk inducing policy, process and measurement-          Strong written and oral communication skills-          2-4 years trading experience, including Market and Credit Risk, preferably at a hedge fund-          Knowledge of Swaps/CFDs/Repos among other asset classes

Benefits


Company offers a competitive compensation and benefits package.

Your tracker settings

We use cookies and similar methods to recognize visitors and remember their preferences. We also use them to measure ad campaign effectiveness, target ads and analyze site traffic. To learn more about these methods, including how to disable them, view our Cookie Policy or Privacy Policy.

By tapping `Accept`, you consent to the use of these methods by us and third parties. You can always change your tracker preferences by visiting our Cookie Policy.

logo innerThatStartupJob
Discover the best startup and their job positions, all in one place.
Copyright © 2025