London Jobs |
Manchester Jobs |
Liverpool Jobs |
Nottingham Jobs |
Birmingham Jobs |
Cambridge Jobs |
Glasgow Jobs |
Bristol Jobs |
Wales Jobs |
London Jobs |
Manchester Jobs |
Liverpool Jobs |
Nottingham Jobs |
Birmingham Jobs |
Cambridge Jobs |
Glasgow Jobs |
Bristol Jobs |
Wales Jobs |
Oil & Gas Jobs |
Banking Jobs |
Construction Jobs |
Top Management Jobs |
IT - Software Jobs |
Medical Healthcare Jobs |
Purchase / Logistics Jobs |
Sales |
Ajax Jobs |
Designing Jobs |
ASP .NET Jobs |
Java Jobs |
MySQL Jobs |
Sap hr Jobs |
Software Testing Jobs |
Html Jobs |
Job Location | London |
Education | Not Mentioned |
Salary | Competitive salary |
Industry | Not Mentioned |
Functional Area | Not Mentioned |
Job Type | Permanent , full-time |
This is an exciting opportunity to join our Equity Finance (EQF) business in London. As part of this successful and highly supportive team, youll be helping drive business growth and increase profitability for the business. You will be focused on tradingRepo and Stock Loan transactions for our client base. Funding, balance sheet, credit risk, interest rate, FX and capital optimisation are core components of the role. On a daily basis, you will be working to identify and execute profitable financing trading opportunities across European and US markets, provide pricing to clients and manage risk. You will be working in close collaboration within a team covering the full suiteof Equity Finance products (Securities Lending, Repo and Synthetic Financing) across equities and government fixed income securities. You will be expected to have a strong understanding of the full spectrum of Equity Finance activities and will be encouragedto think strategically to grow the business. Effective risk and control management is crucial; working to ensure trading risks are foreseen, managed and escalated within the group framework is a vital part of role. We manage this by leveraging tactical tools for process automation and analytics, engagingwith our wider team on strategic system enhancement and by identifying and mitigating operational risk. Strong communication skills are key in this role. We strive to achieve best practice across all our trading activities. As a talented and passionate individual, youll have a well-developed understanding of equity markets and government bonds repos with prior experience trading SBL, Repo financing. You will have a desire to learn in the areas of Securities Lending/Repo, EquitySwaps, Funding Instruments, FX and Interest Rate concepts. Having strong numerical skills and a high level of proficiency in Excel is a pre-requisite. Youll enjoy working in a fast-paced environment and youll be confident in making sound judgement callswhen evaluating risk and reward. Youll have an appreciation for legal, accounting and capital concepts such as entity structures, profit & loss, balance sheet, ISDA/GMSLA/GMRA documentation and be experienced in taking a disciplined approach to risk management. If you have a passion for Equity Finance markets, please apply via the link below. Key requirements for successful candidates