US Rates Strategist - Treasury Trading

Citigroup

New York, New York, United States
On-site
Us interest rate markets expertise
Python programming proficiency
Fixed income mathematics knowledge
The role involves developing and articulating macro and micro investment strategies across the US interest rates spectrum to drive business profitability

Job Summary

  • The role involves developing and articulating macro and micro investment strategies across the US interest rates spectrum to drive business profitability.
  • Candidates will collaborate directly with traders to generate actionable trade ideas and provide in-depth market analysis on Federal Reserve communications and policy decisions.
  • The position requires a strong quantitative background with proficiency in Python and SQL to build financial models and identify relative value opportunities.

Matching Summary

The role involves developing and articulating macro and micro investment strategies across the US interest rates spectrum to drive business profitability.

Skills & Requirements

Must-have

  • US interest rate markets expertise
  • Python programming proficiency
  • Fixed income mathematics knowledge
  • Macroeconomic data analysis skills
  • Yield curve dynamics understanding

Nice-to-have

  • Machine learning techniques application
  • Client interaction experience
  • Profitable trade idea track record
  • Fast-paced trading floor environment
  • Advanced statistical modeling skills

Key Requirements

  • 3-7 years of rates strategy or fixed income research experience
  • Bachelor's degree in Finance, Economics, Mathematics, Statistics, Physics, or Computer Science
  • Master's or PhD strongly preferred
  • Deep expertise in US Treasury securities, swaps, futures, and options

Work Rights

Not specified

Tailored Resume

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