Fid - Xva Trader London

Morgan Stanley UK

London, United Kingdom
Xva pricing and risk management
Otc derivatives
Fixed income products
The xVA business is responsible for pricing and risk managing counterparty, funding and collateral risks associated with OTC derivatives for Morgan Stanley’s Fixed Income Division

Job Summary

  • The xVA business is responsible for pricing and risk managing counterparty, funding and collateral risks associated with OTC derivatives for Morgan Stanley’s Fixed Income Division.
  • This role includes evaluating and pricing of credit and funding as well as collateral optionality; risk-managing the existing derivative portfolio by executing trades and optimizing portfolio hedges.
  • Morgan Stanley empowers employees to have greater freedom of choice through flexible working arrangements.

Matching Summary

The xVA business is responsible for pricing and risk managing counterparty, funding and collateral risks associated with OTC derivatives for Morgan Stanley’s Fixed Income Division.

Skills & Requirements

Must-have

  • xVA pricing and risk management
  • OTC derivatives
  • Fixed Income products
  • market making for clients
  • risk limit adherence

Nice-to-have

  • strong team ethic
  • excellent networker
  • enthusiastic and willing to learn
  • flexible working arrangements

Key Requirements

  • Quantitative bachelor’s degree in STEM
  • Vice President level Trader

Work Rights

Not specified

Tailored Resume

Cover Letter