GMD Non-Flow Credit Repo Trader, Associate
Credit Agricole CIB
Job Description
Summary
\n \nThe Global Repo and Indexing business line, within the Global Markets Division, is looking for junior level candidate to join its Credit Repo and Secured Lending team in New York. The role would involve:
\n \n1) assisting senior traders with daily tasks such as P&L calculations and risk monitoring
\n2) assisting senior traders with the pricing and execution of structured transactions
\n3) risk analysis of transactions and collateral obligations
\n \nThe ideal candidate would have a post-graduate degree in an analytical field. Experience as a corporate credit analyst at a rating agency or equivalent a strong plus. Understanding of securitization structures, techniques and documentation helpful. Strong problem-solving and critical thinking skills are a pre-requisite. A native or fluent level of English is expected to be spoken.
\n \nKey Responsibilities
\n \nTransactions
\n \n- \n
- Analyze, understand and price transaction risk and use of scarce resources to optimize risk/return \n
- Execute transactions in accordance with established risk management procedures and risk parameters. \n
- Identify market opportunities and formulate trading strategy to optimize risk/return. \n
- Input all executed trades directly into the Front Office Systems in a timely manner. \n
- Monitor and manage position risk. \n
- Partner with Structuring and Sales in providing client solutions \n
- Partner with and inform risk functions including obtaining risk approvals as necessary \n
- Keep abreast of the markets and risk by staying informed of economic, regulatory and technological changes \n
Management and Reporting
\n \n- \n
- Report Daily pnl, risk and key market movements to management and partners as required \n
- Escalate issues requiring management attention \n
Mandate
\n- \n
- Ensure strict compliance with the mandate attributed to the desk \n
- Sign the mandate in the MRL tool according to the procedure currently in place with the Bank \n
- Ensure that processes are in place for appropriate identification, escalation, review and response to any actual or potential violation of the regulations. \n
Risk
\n \n- \n
- Establish relationships with key risk functions \n
- Contribute to the evolution of overall risk parameters and processes. \n
- Assist with managing and hedging the overall risk of the Repo & Secured Funding portfolio on an intra and inter day basis. \n
- Ensure adherence with regard to position and risk limits. \n
- Ensure adherence to the overall risk limits, including both credit and market risk, as set for Repo & Secured Funding. \n
- Ensure adequate systems and information flow to allow monitoring and management of these risks. \n
- Ensure that other categories of risk to which the Company is exposed (e.g. legal, operational, and reputational risk) are identified to the extent possible within the trading function. Such risks should then be delegated, documented and managed as appropriate within acceptable levels. \n
- Risks manage the trading book for which responsible. Maintain such risks within the risk limits delegated by Market Risk together with any additional limits imposed to Repo & Secured Funding. \n
Counterparties and clients
\n \n- \n
- Develop and maintain relationships with peers in other organisations as applicable. \n
- Represent the firm with external organisations (e.g., industry or product committees, and regulatory or governing bodies) if requested. \n
- Notify Trading management and Back Office immediately of any and all trading disputes with counterparties. \n
- Ensure adherence to KYC procedures and policies. \n
Communication
\n \n- \n
- Contribute to discussions with the other members of Repo & Secured Funding Trading teams as requested and as appropriate to review market strategy and exchange ideas and any other pertinent information. \n
- Attend regular meetings or conference calls with the other members of Repo & Secured Funding Trading group as requested and as appropriate to review market strategy and exchange ideas and any other pertinent information. \n
- Maintain open and constructive relationships with Sales and Structuring in executing transactions and building business \n
- Maintain open and constructive relationships with key risk functions \n
- Ensure that the relevant managers are made fully aware in a timely fashion of all matters that might have a material impact on the Repo & Secured Funding’s group performance, risk position or compliance with legal or regulatory requirements. \n
- Liaise closely with global overseas offices \n
Key Internal Contacts, where relevant
\n \n- \n
- GRI team \n
- Chief Operating Officer (Global Business Manager) team \n
- Sales \n
- Structuring \n
- Market Risk \n
- Counterparty Risk \n
- Compliance \n
- Market Activity Monitoring (MAM) \n
- Back office/Middle office (trade processing and settlements) \n
Key External Contacts, where relevant
\n \n- \n
- Clients/Counterparties \n
- Brokers \n
Control
\n \n- \n
- Ensure any warning signals of emerging issues in the business are followed up; ensure appropriate investigation and any appropriate remedial action. \n
- Address, in the suggested timeframe, any points or recommendations made by internal or external auditors or regulators. \n
Systems Used
\n \nInternal
\nOutlook, Office, Intranet; Apex, Orchestrade
\n \nExternal
\nBloomberg; Reuters.
\n \nLegal and Regulatory Responsibilities
\n \n- \n
- Comply with all applicable legal, regulatory and internal Compliance requirements, including, but not limited to, the London Compliance manual and the Financial Crime Policy. Complete any mandatory training in line with legal, regulatory and internal Compliance requirements. \n
- \n
- Maintain appropriate knowledge to ensure to be fully qualified to undertake the role. Complete all mandatory training as required to attain and maintain competence. \n
- \n
- Refrain from taking any steps which could lead to the removal of certification of fitness and propriety to perform the role. \n
- \n
- Undertake all necessary steps to satisfy the annual certification process. \n
- \n
- Comply with all applicable conduct rules as prescribed by the relevant regulator \n
Qualifications/Education Required
\n- \n
- Bachelor’s/University degree, preferably in an analytical area, followed by appropriate market relevant working experience \n
Experience Required
\n- \n
- 3 - 5 years of experience in trading and risk managing a trading book, where applicable \n
- Experience as a credit analyst \n
Competencies Required
\n- \n
- Team oriented \n
- Excellent communication skills and able to coordinate effectively with other Senior Managers, Sales, Structurers and Quants \n
- Ability to think quickly, make decisions using good judgement and prioritize in busy trading situations \n
- Ability to remain calm under pressure \n
Skills & Knowledge Requirements
\n- \n
- IT literate \n
- Credit analysis skills \n
- Strong numerical, analytical and spreadsheet skills \n
- ...jobholder makes decisions on individual loans for non-discretionary contracts (within the terms... ...but not limited to:HSS Trading LimitsHSS Credit Risk ExposuresBest execution and fair... ...equity finance, fixed income financing, repo, collateral, or inventory-driven trading activityUnderstanding...SuggestedContract workWork at office
$200k - $307.5k
...Description: Job Title: Trader Location: New York, NY Overview... ...complex and illiquid credit risk as part of Global... ...for highly complex, non linear derivative portfolios... ...monitoring; pricing repo, swap, structured credit... ...including Discounted Cash Flow, and Black-Scholes Derivative...SuggestedWork from home$175k - $250k
...level Single Stock Exotic Trader is responsible for... ...proactively managing complex, non-linear book risk, in... ...providers to optimize execution flow and funding.Quantitative... ..., dividend projections, repo curves, and borrow costs... ...Risk Governance (MRG), Credit Risk, Internal Audit,...SuggestedFull timeWork at officeShift work- ...market, structuring derivatives to manage risk, enhance yield and solve clients’ complex financial problems.Position Summary As an Associate on the FICC ETF trading team, you will execute automated trading strategies, secondary trades, primary trades and help develop the...Suggested
$200k - $300k
Securitized Products Sales - Trader New York, New York,... ...and bespoke structured credit and asset-backed solutions... ...covering primarily Non Agency RMBS and ABS products... ...activity, and investor flows. Communicate client feedback... ..., asset-backed lending, repo financing, or specialty...SuggestedLocal area$270k - $315k
...for trading, managing, building and expanding the Americas EM & Credit SFT businesses for BSI and BBVA SA \n \n Responsibilities:... ...open \n Settlement: bilateral or triparty \n SFT Products - Repo, Securities Lending, TRS, Bond Forward, XCCY, Secured Loans \n...Work experience placementWork at office$150k - $200k
...highly motivated and experienced trader to join the Global PM Trading... ...for managing our non-linear trading business during... ...price, and risk manage client flow across the PM volatility markets... ...0,000 - $200,000 per year for Associate and between $225,000 - $250,00...Temporary work$175k - $210k
Job Title: Primary CMBS Trader Corporate Title : Associate Department: Global Markets-SP... ...technical proficiency in CMBS cash flow modeling with strong... ...optimizing tranche sizing, credit enhancement, and spread... ...rationale to both technical and non-technical audiences....WorldwideRelocation package$150k - $175k
...prévu, ce qui pourrait nuire à votre expérience. Les témoins non essentiels recueillent certains renseignements sur votre... ...obtenir de plus amples renseignements, consultez notre **.**Associate - CIB Credit, TD Securities page is loaded## Associate - CIB Credit, TD Securitiesremote...Temporary workWork from homeWorldwideFlexible hours- ...empowering our people to make meaningful impact from day one. As an Associate or Vice President on our Prime Finance SBL team, you will be at... ...utilization, short interest, corporate actions, create/redeem flow. General CollateralOptimize GC collateral borrow activity...
$230k - $250k
...investment opportunities within the liquid credit universe through tactical top-down... ...FUNCTIONS AND ESSENTIAL RESPOSIBILITIES:Senior trader focused on bank loans, high yield bonds... ...Source investment opportunities and deal flow by leveraging Street relationships and by...Full timeTemporary workWork experience placementFlexible hours- Trader for a Discretionary Macro Team Focused on High Yield/Stressed/Distressed CreditA Career... ...of experience trading across rates, FX, credit, volatility, and emerging markets.... ...with the portfolio manager on electronic and non-electronic execution of all credit trades....Work experience placementWorldwide
$140k - $170k
...Position Overview Job Title Associate Trader – CMO Derivatives Desk Corporate Title – Associate Location New York, NY Position... ...desk. Analyze market trends, prepayment dynamics, customers flows and relative value opportunities. Develop and maintain...Full timeWork at officeWork from home$120k - $130k
...Description Job Description \n We are looking for a Senior Trader to join the Financial Resources Management (FRM) desk within... ...daily collateral inventory and optimization framework, including repo activity and the efficient allocation of collateral across Global...Work at office$145k - $170k
...capital across a range of fixed income and credit opportunities, leveraging our decades of... ....PIMCO is seeking an Equity Execution Trader (Analyst) to be based in NYC. Candidate will... ...conditions, corporate events, and news flow relevant to portfolio holdings.Analyze execution...Flexible hours$150k - $160k
...Responsibilities and Impact: Capstone Investment Advisors, LLC seeks an Associate, Trader in New York, NY to implement systematic strategies including... ...-risk frameworks, to predict and anticipate rebalancing flows in Treasuries and Swaps; pricing IRS and Swaptions including...Minimum wageRemote workWork from home$89.59k - $197.46k
...to shape your own future.KPMG is currently seeking a Senior Associate, Credit Specialist to join our Audit practice.Responsibilities:Execute... ...work and client interactions and ensuring efficient information flow from the client to the teamSupport the design and execution...H1bLocal area- ...Job Description Portfolio Associate – Credit Risk & Portfolio Management \n \n Seeking a Portfolio... ...lending, with experience monitoring non-investment grade companies. \n \n... ...operating trends, liquidity, leverage, and cash flow performance. \n Identify and escalate...
$125k - $140k
...including public and private equity and credit, fixed income, foreign exchange, and alternative... ...is seeking to hire a Junior Equities Trader who is analytical, intellectually curious... ...for contributing insights on trading flow dynamics and generating analytics on trading...Permanent employmentWork at office$225k - $280k
...conduct standards.Partner with Market Risk, Credit Risk, Compliance, Operations, and Finance... ...guidance and technical support to junior traders, analysts, and other team members.... ...annualized salary range. For hourly positions (non-exempt), the annual range is based on a 4...Hourly payContract workWork experience placementShift work$150k - $235k
...Job Description We are seeking an experienced Equity Derivatives Trader at the Associate or Vice President level to join our trading desk. The ideal candidate will have 2–7 years of experience in a flow-facing trading seat, with strong exposure to pricing, market...Full timePart timeLocal area- ...initiative and are looking for experienced traders with a strong understanding of alpha... ...former employees of Tower, DRW, Broadridge, Credit Suisse, and more. Enjoy excellent opportunities... ...for health insurance, sports activities, and non-professional training....Temporary workWork at officeRemote workFlexible hours
- ...separate accounts, including investment grade credit, high yield, emerging market debt,... ...As an Investment Grade Credit and Rates Trader on the Global Fixed Income, Currency and... ....Present trade ideas, communicate market flows, and provide color and insights to investment...
- ...group’s main clients. \n \n As SFS is a non « plain vanilla » financing group with... ...synergies with other business lines (e.g., GMD, ERA, & M&A). Main types of products are tailor... .... \n Production of financial models, credit applications and other internal materials...
$120k - $145k
...industry.Job DescriptionAres Alternative Credit focuses on asset-based finance (ABF) and... ...leasing, structured products, net lease, cash-flow streams (e.g., royalties, licensing,... ...detail-oriented team player to join as an Associate or Senior Associate on the Alternative Credit...Full timeTemporary workWork experience placementWork at officeFlexible hours- ...financial services, including personal banking, credit cards, mortgages, auto financing,... ...operational workflows.As an Applied AI/ML Senior Associate in our AI for Operations organization,... ..., small businesses, municipalities and non-profits. You’ll support the delivery of...Work experience placement
$130k - $175k
...exciting and growing industry.Job DescriptionThe Associate will provide support for the sourcing, underwriting and credit analysis of potential new investments, assist in... ...complex excel financial models including cash flow analysis, debt sizing and structuring Preparing...Full timeTemporary workWork experience placementFlexible hours$160k - $180k
...-grade loans, bridge facilities, corporate revolvers, and other credit solutions for clients.Prepare credit submissions and supporting... ...analysis and build/maintain detailed financial models, including cash flow projections, covenant analysis, and downside scenariosProvide...Full timeFlexible hours$140k - $200k
...focused on real estate, private equity, credit, infrastructure, life sciences, growth equity... ...(IABC) team is seeking a highly capable Associate or Senior Associate software engineer to... ..., and can work effectively alongside non-technical partnersIntellectual curiosity,...Full timeLocal area$140k - $155k
...recruitment team will provide more details.Credit Portfolio Management (CPM) is a global... ...through comparison of modeled cash flows against appropriate, market derived, risk... ...Authority (FINRA) and the National Futures Association (NFA). The major responsibilities listed...Full timeWork at officeLocal areaRemote work
Do you want to receive more vacancies?
Subscribe and receive similar vacancies to GMD Non-Flow Credit Repo Trader, Associate. Be the first to apply!




