A leading investment bank with a significant presence across the Iberian Peninsula and Africa provides a collaborative, challenging, and meritocratic work environment, offering opportunities for growth within a professional and dynamic finance sector.
Responsibilities Investment Strategy : Assist in shaping fixed-income investment strategies from both tactical and strategic perspectives, aligned with the bank's overall objectives.
Market Analysis : Conduct monitoring of global and domestic financial markets, analyze trends, and provide recommendations for positions and opportunities in fixed-income markets.
Risk Management : Identify and mitigate market, credit, and interest rate risks through the use of hedging strategies, derivatives, and other financial instruments.
Funding Strategy : Support the bank's liquidity management and contribute to its overarching funding strategy.
Regulatory Compliance : Maintain a strong understanding of the regulatory framework pertinent to banking institutions.
Ideal Profile Bachelor's degree in Economics, Management, Finance, or related fields (CFA certification is a plus);
5-10 years of experience in financial markets, specifically focused on treasury and capital markets roles, ideally on the buy-side;
Advanced knowledge of capital markets, including macroeconomic analysis and risk management;
Proficiency in listed financial instruments, particularly fixed income and interest rate/FX derivatives.
Team player with effective cross-departmental collaboration skills;
Self-motivated and proactive, with a focus on continuous improvement;
High level of numerical and financial acumen;
Adaptability and quick learning capability.
A good opportunity for your professional development and growth.
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