Repo Trading Analyst
Must have this experience for consideration:
2–3 years of professional experience in fixed income financing, repo trading, treasury operations, or cash managementWorking proficiency with either Python or VBA while at a company within the financial industry. This does not include internships or project based educational work; it must have been done professionallyBachelor’s degree in Finance, Economics, or a related fieldStrong Microsoft Excel proficiencyHigh accuracy, attention to detail, and ability to perform under pressureSummary:
A growing investment management firm is seeking a detail-oriented Repo Trading Analyst to join its Treasury team. This newly created position supports expanding fixed income and financing operations. Reporting to the Head of Repo Finance, the role focuses on daily repo trading, liquidity optimization, and cash management. The environment is fast-paced...