Key Accountabilities
• Ensure all activity is conducted within risk limits.
• Ensure behaviours are compliant with group and regulatory policy.
• Ensure timely and accurate booking of trades.
• Work effectively with local and global partners to achieve best outcomes
Job Duties & responsibilities
• Assist with the timely and accurate execution of trades across Cross Asset
Financing (Repo, TRS, Bond Forward, Collateral Swap…) and Investment
Solutions (Market Access, Hedging & Balance Sheet Optimisation, Yield
Enhancement via various Derivatives/Structured Notes).
• Proactively identify opportunities in conjunction with our partners in
trading & structuring and market such opportunities to our clients.
• Work closely with key stakeholders including Trading & Structuring,
Coverage, Sales Management, Business Management and Operations.
• Demonstrate eagerness to perform and gain responsibility and ownership.
• Proactive approach to problem solving and ability to perform well under
pressure.
• Proficiency in using Bloomberg, Excel (VBA), Word and PowerPoint.