Looking for Interbank Trader with exposure in Interest Rate trading and book running - Bonds, OIS, Currency swaps, etc
Responsibilities:
- Sound experience in Proprietary Trading trading across the entire spectrum of fixed income instruments: G-secs, SDLs, Corporate bonds, Money market instruments (CD, CP and T-bills) and Interest Rate Derivatives: Overnight Index Swaps (OIS) and Interest rate futures (IRFs)
- Design Trading strategies & trading models using quantitative (technical) and qualitative (fundamental) parameters
- Pricing and execution of Currency swaps including book running Modified Mifor
- Providing competitive quotes to Treasury Sales team for client covering of OIS, IRS and CCS trades. Can act as back-up of FX-Trading Desk
- Providing competitive quotes to Treasury Sales team for client FX requirements
- Managing foreign currency nostro balances
- Maintenance of AGL, IGL, and NOOPL of the bank
- Co-ordination with Treasury Sales team/RMs to meet overall profit target of the bank
- Knowledge, adherence and compliance to all RBI regulations regarding Trading activitiesof relevant Regulatory directives and their implementation for achieving regulatory compliance
- Good understanding of Macro-economic indicators and their implication on markets
- Sound technical analysis skills and capabilities in forecasting the behaviour of key market indicators
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