Senior Market Risk Manager Prop Trading with Fixed Income Rates

Role is to work with Senior Prop Traders/ Portfolio Managers. 

This involves setting limits, liquidity analysis, pricing action of products, developing trade strategies, developing investment ideas, monitoring, VAR, PL etc.....

Focus is mostly on Rates prop trading (Swaps, Bonds, Futures etc.)

90% of Portfolio is Rates, the rest is FX and then Credit etc.

They do the full gamut of Rates products, US, International, Bonds, Swaps, futures etc....

Candidate must have previous exposure to Prop Groups or Prop Trading either from a trading role or Market Risk role.  But this is a Senior market Risk role.

Candidate must also have experience with Rates, Prop and Market Risk

This is a senior role.  This is not a Modeling role.

Of particular interest is a background with Prop (with Rates) from another Hedge Fund.

Total (base plus bonus) compensation can go up to 1.2 million US dollars (max to start).

Please send Cv in confidence to

Halliwell Search LLC at:

RABO@optonline.net

 

May 17, 2013 • Tags:  • Posted in: Financial

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