Head, Non-Linear and Structured Credit Trading at Mashreq Careers
, , United Arab Emirates -
Full Time


Start Date

Immediate

Expiry Date

24 Mar, 26

Salary

0.0

Posted On

24 Dec, 25

Experience

10 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Derivatives Trading, Structured Credit, Risk Management, Market Making, Hedging Strategies, Pricing Strategies, Market Risk, Liquidity Management, Counterparty Exposure, Valuation Models, Options Pricing, Risk Modeling, Quantitative Skills, Analytical Skills, FX Derivatives, Credit Derivatives

Industry

Banking

Description
Job Purpose Lead and manage the Non-Linear and Structured Credit Trading function within Treasury & Global Markets. Oversee pricing, risk management, and execution of derivative and structured-credit products such as FX options, rate options, structured notes, and credit-linked instruments. Drive P&L growth while maintaining robust governance, compliance, and risk control frameworks. Key Result Areas Manage trading activities across non-linear and structured-credit products such as exotics, options, and structured yield solutions. Develop market-making, hedging, and pricing strategies aligned with the bank’s risk appetite and capital utilization. Ensure effective management of market risk, liquidity, and counterparty exposure. Collaborate with Structuring, Sales, and Risk teams to design and deliver client-driven structured solutions. Monitor market trends, volatility, and macro-economic indicators to optimize trading strategies. Oversee valuation models, pricing methodologies, and control testing in coordination with Market Risk and Product Control Ensure compliance with internal trading limits, regulatory requirements, and conduct standards. Provide regular P&L, exposure, and limit-utilization reporting to senior management. Lead and mentor trading staff, fostering a high-performance, risk-aware culture. Knowledge, Skills and Experience 12–15 years’ experience in derivatives and structured-credit trading within Treasury or Global Markets. Strong expertise in options pricing, risk modeling, and valuation techniques. In-depth understanding of credit, FX, and rate-derivative markets. Advanced quantitative and analytical skills; experience with systems such as Murex or Bloomberg. Degree in Finance, Economics, or quantitative discipline; CFA or FRM advantageous.
Responsibilities
Lead and manage the Non-Linear and Structured Credit Trading function, overseeing pricing, risk management, and execution of derivative products. Collaborate with various teams to design client-driven structured solutions while ensuring compliance and effective risk control.
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