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Quantitative Fixed Income Strategist-Washington, USA
My client, a top investment bank are looking to add to their research desk. The successful candidate will focus their research primarily on the European Markets, a background in government bonds, and swap research would be an advantage, however, a fundamental knowledge covering all liquid interest rate products and derivatives is essential.
The candidate should have a strong academic background in mathematics, this is a senior position therefore the candidate must have experience at VP level.
The Successful Candidate will have and be able to demonstrate experience in: -Producing technical and fundamental analysis research. -Producing Relative Value analysis research -Producing trade ideas, trading/hedging strategies, market outlooks and curve views for clients -Developing models and spreadsheets employing visual basic code, self-updating data and analytics packages -Relative Value analysis - bonds: historical coupon adjusted spread (CAS), forward carry/roll-down; yield curve shape: slope & butterfly (curvature); forward-forward variation.
This role will offer you the opportunity to move into an extremely strong organization that has a proven record of success. You should expect to be working in a highly commercial organization where you will be closely supporting traders and therefore should be able to adapt quickly to the fast paced trading floor environment.
This is a successful company and therefore the salary will be competitive.The level of the hire depends upon your competency in interview. Interviews are taking place currently therefore all applications must be received as soon as possible. Utmost confidentiality assured. Please apply directly by mail or visit our Website, www.selbyjennings.comALL CVs must be submitted in word format.
Apply by email. Please do not modify the subject of the mail or your application will not be considered.
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