Responsibilities:
1. Execution of buy and sell orders or pricing of liquidity in various financial instruments while adhering to the bank's trading strategies and risk parameters.
2. Monitoring and analysis of global financial markets, economic indicators, news, and geopolitical events to identify trading opportunities and assess market risks.
3. Management and monitoring of the risk associated with the trading portfolio and ensuring compliance with regulatory and internal risk management guidelines.
4. Collaboration with research analysts and other teams to gather insights and information for trading decisions.
Skills:
1. Previous experience in the Financial Services Industry.
2. Some relevant product knowledge (repos, stock borrows, equity swaps).
3. Ability to analyze markets.
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