BBVA Global Markets is seeking to upgrade its capabilities in rates derivatives. This is part of a much bigger plan to build a relevant franchise with Institutional Investors.
G10 Flow Rates comprise cash bonds, inflation, STIR and LT Swaps desks.
LT Swaps have traders in NYC, HK, London and Madrid. Out of Madrid, BBVA makes markets in G10 IRSs ( main location for USD is NYC and for GBP is London ). EUR is the most active currency by far.
We are looking for a senior EUR IRS trader to help us reinforce our institutional franchise as a relevant member of our LT Swap desk in Madrid.
Main responsibilities/tasks:
* P&L generation according to budgetary exercise within risk limits and internal conduct rules.
* IRS market making, EUR as main currency.
* Pricing, hedging and risk management of G10 IRS books.
* Service to clients ( comments, axes, visits, … ).
● Strong focus on all segments of institutional investors:
* Banks.
* Private banking.
* Asset managers.
* Insurance companies/Pension funds.
* Public sector.
* Hedge funds.
● Collaborate closely with various teams, such as Structuring, Sales, MTN, Client Coverage and other Trading teams.
Previous Experience and Technical Knowledge:
● Degree. Masters or certificates in Finance will be positively considered.
● Minimum of 5 years of solid experience in Tier 1 banks, in linear rates derivatives with a strong institutional client focus.
● Technical skills: Solid knowledge of financial markets, more specifically rates derivatives.
● Soft skills: Teamwork / Organizational capacity / Proactivity / Adaptability / Decision making.
● Cross-cutting skills: Foster constructive dialogue and positive cooperation, both internally and externally.
Languages:
● Fluent in English.