A leading global bank is seeking a seasoned credit trader to join its London-based trading desk. This role focuses on Investment Grade and Corporate Hybrid instruments, offering the opportunity to contribute to a high-performing team within a well-capitalized and strategically ambitious platform.
Key Responsibilities:
- Execute and manage trading strategies across Investment Grade and Corporate Hybrid credit products, with a focus on European markets.
- Provide liquidity and pricing to institutional clients, maintaining strong relationships with buy-side counterparties.
- Collaborate closely with sales, research, and structuring teams to deliver integrated client solutions.
- Monitor market developments, macroeconomic trends, and issuer-specific news to inform trading decisions.
- Contribute to risk management and P&L oversight, ensuring alignment with internal limits and regulatory frameworks.
- Support the development of junior talent and promote a culture of collaboration and integrity.
Candidate Profile:
- Proven track record in trading Investment Grade and Corporate Hybrid credit products, ideally at VP or Director level.
- Deep understanding of credit markets, capital structures, and hybrid instruments.
- Strong quantitative and analytical skills, with a disciplined approach to risk.
- Excellent communication and relationship-building abilities.
- Familiarity with electronic trading platforms and market data tools.
- Ability to thrive in a fast-paced, team-oriented environment.
Why Join?
- Be part of a globally respected institution with a strong balance sheet and long-term commitment to credit markets.
- Work in a collaborative and entrepreneurial environment that values innovation and integrity.
- Competitive compensation and benefits package, with clear pathways for career progression.
Please apply today to learn more about this opportunity.