Upvote
Downvote
Senior Fixed Income And Derivative Portfolio Manager
Share Job
- Suggest Revision
- Independently execute daily borrowing, investing or hedging activities.
- Demonstrates an in-depth knowledge of and can cover/assist in all areas of the desk including derivatives, Advances, Treasuries, Agencies, Fed Funds, Reverse Repurchase Agreements, Mortgage Structured products, Municipals and Commercial Mortgage Back Securities (funding, investing, pricing, hedging, etc
- Identify and execute trading opportunities and risks across all areas of the desk including derivatives, Treasuries, Agencies, Fed Funds, Reverse Repurchase Agreements, Mortgage Structured products, Municipals and Commercial Mortgage Back Securities and focus transactions on best execution, relative value and risk/reward.
- Acts as a "First-Line-of-Defense" in identifying, communicating, assessing and managing all risks of the portfolio, including financial risk, including treasury operations, interest rate risk and credit risk.
- Masters of Business Administration (MBA) and/or Chartered Financial Analyst (CFA) designation required.
Active Job
Updated TodaySimilar Job
Relevance
Active