Job Description: Cross Asset Structuring
Position Overview: The ideal candidate will have extensive experience in structuring, pricing, and managing a variety of equity and fixed income-related structured products. This role requires a deep understanding of investment strategies, risk management, and regulatory compliance.
Your Role:
- Design, price, and manage a wide array of structured products, including balance sheet notes, repos, options, swaps, securities lending, structured financing, and cross-border solutions.
- Craft and execute cross-asset investment strategies tailored to client needs, aiming to maximise risk-adjusted returns.
- Oversee portfolio risk and performance, making strategic adjustments as needed.
- Ensure compliance with all regulatory standards and internal policies.
- Collaborate with various internal teams to uncover market opportunities and streamline operational processes.
What We're Looking For:
- A Master's degree in quantitative finance or a related discipline is preferred.
- A minimum of 6 years of experience in a similar role within a reputable financial institution.
- Deep knowledge of products such as repos, total return swaps, FX swaps, securities lending, and structured notes.
- Proven expertise in Strategic Asset Allocation.
- Exceptional communication skills, a proactive approach, and the ability to manage multiple tasks under pressure.