Senior European Bond Rates Strategist, Global Investment Bank
Providing regular trade ideas to Sales Trading and liaising with Regional Heads of Sales Trading around the globe, you also will be required to contribute to weekly monthly publications and raise the bank's profile amongst key clients.
(Candidates are invited from the Sell the Buy-side)
EXPERIENCE REQUIRED:
- Strong European Government Rates strategy experience gained in either bank or on the buy-side as a PM for Fixed Income portfolios
- Fair Value, Fixed Income Relative Value Trade ideas
- Forward rate trade ideas
- Fitted curves, Optimisation, Asset Allocation
- Good existing relationships with several key clients
- Derivatives - good understanding of quantitative models
- Good knowledge of portfolio techniques and analytics
- Ability to write trade ideas with brevity
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