Senior STIR Trader at ABN AMRO
Amsterdam, , Netherlands -
Full Time


Start Date

Immediate

Expiry Date

08 Nov, 25

Salary

0.0

Posted On

09 Aug, 25

Experience

10 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Good communication skills

Industry

Financial Services

Description

YOUR JOB

FID Trading has full end-to-end responsibility for pricing & risk management for all derivative and fixed income products. This includes responsibility for pricing models and tooling, management of all risk types, creating and implementing strategies for optimizing our electronic and other distribution channels and adhering to all policies and regulations. As a Senior STIR Trader:

  • You are a (strategic) discussion partner for clients and the bank in the field of STIR trading and riks management.
  • You can adequately and quickly make the right decisions and execute transactions in (complex) financial products such as bonds, repo’s, FX and Money Market instruments, linear and non-linear derivatives.
  • You manage and optimize the trading portfolios of the bank from a balanced risk, return and scarce resources perspective.
  • You are curious, creative and always looking for the how and why to be in-control. You use data, analytics and other IT-tooling for this.
  • You have up-to-date expertise in the field of financial markets, money markets, liquidity and collateral management themes and products, valuation models, risk management and supervisory themes which you use to optimize transaction pricing and (risk) position management.
  • You work in a team, and you like to collaborate with relevant stakeholders (QA, Research, Treasury, Sales, IT, Grids, Risk and XVA)
  • In this role, you are responsible for all STIR- and Cross Currency (G10) trading
  • In everything you do, you take possible risks, financial results for the bank, sustainability and customer interests into account.

YOUR PROFILE

We are looking for someone who challenges the status quo and is passionate about financial markets and trading.

  • Academic education level
  • At least 10 years’ work experience, preferably in Global Markets, Treasury, Investment or Wholesale Banking
  • Experience in systemic trading strategies, collateral and cross currency arbitrage and risk management of (complex) financial and money market products (on and off balance)
  • Advanced skills in the field of trading systems, pricing and valuation model knowledge, as well as IT tooling (quant development and data analytics), business and regulatory knowledge (CB requirements and banking supervision)
  • Excellent interpersonal skills, team player and effective stakeholder manager
  • Proven client-centric skills
  • Self-starter, innovative and curious mindset
Responsibilities

Please refer the Job description for details

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