- Ideating / Solutioning / Producing monthly FX/Rates derivatives / product presentations.
- Generate indicative pricing and term-sheets of vanilla/exotic trades.
- Maintaining database of pricing parameters, term-sheets and presentations including pipeline.
- Contributing to trade idea generation and business development. Producing termsheets for vanilla/exotic trades.
- Monitoring trades done (MTM/payout) and performance including restructuring opportunities.
- Handling internal unwind process, including liaising with trading/credit/legal desks as necessary.
- Analytical support (e.g. running back-testing, cashflow and MTM sensitivity analysis).
- Develop and maintain Risk & Pnl reporting tools and use them to generate alpha.
- Ability to handle/prioritize multiple tasks and guide the team in solutioning.
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