Key Result Areas
• Execute trades and manage positions across fixed-income instruments such as government and corporate bonds, and sukuks.
• Monitor market developments, interest-rate movements, and spreads to identify trading opportunities.
• Support the Head of Desk in yield-curve positioning, risk hedging, and liquidity management.
• Liaise with Sales and Structuring to provide market pricing and trade support.
• Prepare daily reports on positions, exposures, and P&L.
• Coordinate with Risk, Operations, and Finance to ensure trade booking and reporting accuracy.
• Maintain compliance with internal policies, market conduct rules, and regulatory guidelines.
Knowledge, Skills and Experience
• 6–9 years’ experience in fixed-income or money-market trading.
• Proficient in Bloomberg, Murex, and yield-curve analysis tools.
• Knowledge of regional bond and sukuk markets.
• Strong quantitative and analytical skills.
• Degree in Finance, Economics, or related discipline; CFA preferred.
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