Price, execute, and manage positions in cross-currency swaps, basis swaps and related FX derivative products
Manage funding and hedging positions arising from client transactions, bond issuances, and interbank activities
Analyze basis spreads, interest rate differentials, and cross-currency yield curves
Support sales in pricing structured products or client hedges involving cross- currency elements
Attends seminars, briefings, talks to enhance trading knowledge and competency; and perform other duties that may be assigned by the Non-Linear Trading Desk Head
To uphold the Professional and Ethical standards of the Bank and the BAP-Code of Ethics.
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