The successful candidate will bring the following:
- 3-7 years experience as a bookrunner/trading assistant/portfolio otimisation/compressions in a hedge fund or investment bank;
- Fixed Income/Rates product experience is essential;
- A technical toolkit in either Python or C++ is essential;
- Experience in project management and delivering change;
- Highly collaborative; able to build relationships with finance, operations, quant, tech and trading teams;
- Outstanding communication skills; ability to respond rapidly, and analytically, to situations as they arise;
- Interest in / passion for the markets;
- A strong academic pedigree from a top university;
- CFA beneficial
- Strong risk management and controls experience.
For a confidential discussion, please apply with your CV.