Overview
In this role you will trade and risk-manage non-flow credit products and cross-asset structures, collaborating with Trading, Sales, Structuring and Research. You will emphasize systematic and quantitative strategies while serving a diverse client base with innovative credit solutions. You will shape products and risk approaches in a high-growth, cross-disciplinary desk within a global market-leading franchise. This is a hands-on, impact-oriented role with exposure to cutting-edge credit trading.
Responsibilities
- Price, execute, and risk-manage the trading book with precision and strategic insight
- Focus on systematic and quantitative trading strategies and cross-asset correlations
- Generate investment and trade ideas in the quantitative trading space
- Drive the development of innovative products and solutions with structuring and sales teams
- Engage with internal and external stakeholders to deliver tailored content and client solutions
Key requirements
- Experience in credit/fixed income or exotics/quantitative/systematic role
- Excellent technical and analytical skills
- Strong verbal and written communication skills
- Entrepreneurial mindset with proactive problem-solving
- proactive problem-solving
- clear communication
- client-facing collaboration
- systematic products or quantitative trading
- familiarity with quantitative modeling
- pricing methodologies
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