JOBILY AI SUMMARY
What you'll do
- Own corporate credit risk across the Trading Book, with accountability for P&L and risk-adjusted returns
- Execute directional, relative-value and hedging strategies across cash bonds, CDS, indices and rates
- Manage portfolio risk, liquidity and inventory, including CS01, DV01, VaR, concentration and stress risk
- Optimize the Banking Book corporate bond portfolio with Treasury and ALM
- Allocate credit exposures between Trading and Banking Books
- Generate market views and trading ideas while supporting Sales, DCM and primary-market activity
- Partner with Risk, Treasury, ALM, Finance, Sales and DCM to optimize balance-sheet deployment
- Shape desk strategy, enhance trading capabilities and mentor junior traders
- Use data, technology and AI to improve market intelligence, screening, analytics and trading efficiency
Key requirements
- 5+ years' experience
- Corporate credit trading across Investment Grade credit, High Yield credit and Cash bonds
- Fundamental credit analysis and Relative-value analysis
- Portfolio construction and Risk management
- Credit default swaps (CDS), Credit indices and Rates
- Bloomberg, Microsoft Excel and Trading and risk systems
- Any Field / Finance / Economics / Business Administration / Engineering / Mathematics
Benefits
- Competitive remuneration and hybrid work supporting work-life balance.
- Benefits include learning and development, health and life insurance, mental health support, pension plan, wellbeing activities and potential additional annual leave.
- Additional benefits include partner discounts, staff pricing for banking products, and nursery and summer camp allowance.
About the job
We are looking for a Senior Corporate Credit Trader to join our Corporate Credit Trading Desk within Global Markets and play a leading role in the development of our European corporate credit franchise. This is a senior, risk-taking position with direct responsibility for P&L, portfolio…


