Trader, Global Asset Manager, London, Global asset manager, London - eFinancialCareers
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Added before 6 hours
- England,London,City of London
- Full Time, Permanent
- Competitive salary
Job Description:
Responsibilities
*Execute trades across Equities, FX, IRS, local and hard currency bonds, CDX and related derivatives.
*Manage Treasury/Bund exposures to optimise returns while maintaining mandate and policy compliance.
*Maintain relationships with banks, brokers and trading counterparties; source liquidity and block trades in primary and secondary markets.
*Coordinate with the Singapore desk to ensure a seamless follow-the-sun trading model.
*Minimise unremunerated cash; resolve overdrafts and settlement issues promptly.
*Protect the integrity of fund values, pricing, allocations and restrictions through rigorous attention to detail.
*Adhere to risk, compliance and regulatory requirements; ensure professional electronic communications.
*Provide full backup across routine trading desk tasks and workflows.
*Oversee cash management, including liquidity funds and repos.
*Monitor cash, EM equity and EM local currency debt markets; liaise with portfolio managers on instrument selection and yield curve value.
Requirements
*2–4 years’ front-office experience in investment banking or asset management.
*Exposure to emerging markets fixed income and FX; understanding of credit instruments and structural features.
*Knowledge of covered-country issuance history, trading practices, counterparties and risk environment.
*Track record of sourcing and trading instruments with best execution.
*High proficiency in Bloomberg and Microsoft Excel/Word; familiarity with Thinkfolio (or similar OMS) and TSOX, FXall, MarketAxess.
*Knowledge of portfolio rules, policies and investment restrictions.
*Ability to prioritise multiple tasks and meet tight deadlines.
*Strong attention to detail.
*Execute trades across Equities, FX, IRS, local and hard currency bonds, CDX and related derivatives.
*Manage Treasury/Bund exposures to optimise returns while maintaining mandate and policy compliance.
*Maintain relationships with banks, brokers and trading counterparties; source liquidity and block trades in primary and secondary markets.
*Coordinate with the Singapore desk to ensure a seamless follow-the-sun trading model.
*Minimise unremunerated cash; resolve overdrafts and settlement issues promptly.
*Protect the integrity of fund values, pricing, allocations and restrictions through rigorous attention to detail.
*Adhere to risk, compliance and regulatory requirements; ensure professional electronic communications.
*Provide full backup across routine trading desk tasks and workflows.
*Oversee cash management, including liquidity funds and repos.
*Monitor cash, EM equity and EM local currency debt markets; liaise with portfolio managers on instrument selection and yield curve value.
Requirements
*2–4 years’ front-office experience in investment banking or asset management.
*Exposure to emerging markets fixed income and FX; understanding of credit instruments and structural features.
*Knowledge of covered-country issuance history, trading practices, counterparties and risk environment.
*Track record of sourcing and trading instruments with best execution.
*High proficiency in Bloomberg and Microsoft Excel/Word; familiarity with Thinkfolio (or similar OMS) and TSOX, FXall, MarketAxess.
*Knowledge of portfolio rules, policies and investment restrictions.
*Ability to prioritise multiple tasks and meet tight deadlines.
*Strong attention to detail.
Job number 3464045
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