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Manager, Fixed Income Analytics

Employer
Finance Network
Location
New York, USA
Salary
Competitive
Closing date
Nov 30, 2019

View more

Job Function
Hedge Funds
Industry Sector
Finance - General
Employment Type
Full Time
Education
Bachelors
As part of the firm's NY-based team, the successful candidate will bring extensive experience in support of FICC trading with a particular focus on the control, pricing and valuation of fixed income / fixed income derivative products, including:
  • Production of, and commentary on, end of day P&L spanning a broad spectrum of asset classes (ie: commodities, credit, fx, interest rate etc);
  • Reconciliation of P&L between front- and back-office systems;
  • Transaction Cost Analysis;
  • Project Management planning and execution;
  • Design and build of reporting tools;
  • Internal liaison with compliance, finance, legal, risk, quant, tech and trading;
  • External liaison with counterparties, 3rd party vendors and investors.

Qualifications
  • 5+ years' relevant experience in a middle office, operations, product control, market risk and/or valuations role in either a bank or fund;
  • Deep understanding of the mechanics of fixed income products and pricing / valuation of derivatives;
  • Extensive programming experience, ie: C++, Python, R, VBA;
  • A Bachelors degree from a top school in economics, engineering, finance, math, quantitative, science or statistics;
  • Professional qualification (ie: CFA, CPA, FRM) strongly preferred;
  • Outstanding communication and presentation skills.
  • Effective people management skills

For more information please apply with your resume.

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