Repo Trader
Genève, Geneva
CDI
Banque et Services Financiers
We are looking for our client, an asset management company, a Repo Trader F/M
Responsabilities :
- Carry out repo transactions to ensure the local portfolio is funded in a manner consistent with Garda's liquidity constraints, counterparty diversification requirements, and duration risk tolerance levels.
- Cultivate robust relationships with Portfolio Managers and counterparties (through regular on-site visits in London).
- Uphold excellence in repo execution: both in terms of economics and relationship management.
- Partner with the Head of Repo to oversee the European repo funding profile.
- Assist in developing reporting and trading tools to improve execution capabilities.
- Stay vigilant of any legal, settlement, and technological advancements occurring in the European repo landscape.
Profile :
- A minimum of 4 years of experience in a repo or repo-related role is strongly preferred
- Proven track record of executing repo transactions across core, semi-core, and peripheral European collateral
- Hands-on experience executing repo in G10 Asia, particularly Japan and Australia
- Familiarity with repo execution in North America, primarily the US (both government bonds and mortgages) and Canada
- Detail-oriented with excellent verbal and written communication abilities
- Demonstrated aptitude for detail with the capability to independently manage projects/tasks and meet deadlines
- A high-performing individual who is self-motivated, exhibits a high level of initiative, and demonstrates innovative thinking
- Ability to work effectively both independently and as part of a team
- Strong proficiency in Microsoft Excel
#boost
RefJN-062024-612361
Repo Trader
LHH
1 il y a quelques jours
CDI
Banque et Services Financiers
Genève, Geneva
We are looking for our client, an asset management company, a Repo Trader F/M
Responsabilities :
- Carry out repo transactions to ensure the local portfolio is funded in a manner consistent with Garda's liquidity constraints, counterparty diversification requirements, and duration risk tolerance levels.
- Cultivate robust relationships with Portfolio Managers and counterparties (through regular on-site visits in London).
- Uphold excellence in repo execution: both in terms of economics and relationship management.
- Partner with the Head of Repo to oversee the European repo funding profile.
- Assist in developing reporting and trading tools to improve execution capabilities.
- Stay vigilant of any legal, settlement, and technological advancements occurring in the European repo landscape.
Profile :
- A minimum of 4 years of experience in a repo or repo-related role is strongly preferred
- Proven track record of executing repo transactions across core, semi-core, and peripheral European collateral
- Hands-on experience executing repo in G10 Asia, particularly Japan and Australia
- Familiarity with repo execution in North America, primarily the US (both government bonds and mortgages) and Canada
- Detail-oriented with excellent verbal and written communication abilities
- Demonstrated aptitude for detail with the capability to independently manage projects/tasks and meet deadlines
- A high-performing individual who is self-motivated, exhibits a high level of initiative, and demonstrates innovative thinking
- Ability to work effectively both independently and as part of a team
- Strong proficiency in Microsoft Excel
#boost
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