$125,000 - $175,000; not specified; not specified ...
Execute trades and manage risk
Monitor financial markets and economic indicators
Analyze pricing, economics, and commercial frameworks
Execute trades and manage risk within a defined portfolio of financial instruments while staying informed about market trends and developments
Job Summary
Execute trades and manage risk within a defined portfolio of financial instruments while staying informed about market trends and developments.
Analyze pricing, economics, and commercial frameworks for a range of financial instruments across Prime, Equities, and Fixed Income Financing businesses.
Combine complex information quickly and translate it into clear, actionable recommendations for stakeholders across the business.
Matching Summary
Execute trades and manage risk within a defined portfolio of financial instruments while staying informed about market trends and developments.
Salary
$125,000 - $175,000; Not specified; Not specified
Skills & Requirements
Must-have
Execute trades and manage risk
Monitor financial markets and economic indicators
Analyze pricing, economics, and commercial frameworks
Collaborate with research analysts and other teams