This page was automatically translated and may contain errors. View in English.
Bank of America

Analyst/Associate in Rates & Derivatives Trading

Bank of America

New York, United States ・ フルタイム

最初に応募しよう

経験
1~3歳
給料
求人情報
1
投稿済み
4時間前
作業モード
在任中
教育
Bachelor's degree in Finance, Economics, Mathematics, Statistics, or related fields
再開する
応募必須

勤務地

仕事内容

About the Role at Bank of America

Bank of America strives to improve financial lives globally by connecting clients, communities, and employees with shared purpose and responsible growth. Promoting a supportive and inclusive workplace culture is central to the firm's success. The company prioritizes attracting and nurturing diverse talent, rewarding outstanding performance, and promoting the well-being of its employees through comprehensive benefits. This position supports an in-office work model that values collaboration and career advancement, while allowing flexibility based on specific role requirements.

Position Overview

This role involves supporting the trading of interest rate derivatives and structured products. The successful candidate will engage in pricing, risk oversight, market analysis, and automation initiatives, partnering closely with senior traders and structuring teams.

Key Responsibilities

  • Assist with pricing and risk management for USD interest rate derivatives and structured products.
  • Perform daily profit and loss (P&L) reporting, attribution, and risk oversight activities.
  • Maintain detailed grids for volatility, correlation, and other market parameters.
  • Handle trade lifecycle events including expirations, fixings, and cancellations.
  • Analyze market data and macroeconomic releases to inform trading strategies.
  • Develop and uphold analytical and automation tools utilizing Python and Excel.
  • Collaborate with trading, structuring, and risk teams to conduct special analyses as needed.

Qualifications and Skills

  • Between 1 to 3 years of experience in trading, financial markets, or related quantitative fields.
  • Bachelor's degree in Finance, Economics, Mathematics, Statistics, or a comparable discipline; or equivalent professional experience.
  • Proficiency in Microsoft Excel and familiarity with Bloomberg Terminal usage.
  • Basic working knowledge of Python programming.
  • Fundamental understanding of fixed income securities and interest rate instruments.
  • Strong focus on detail and a genuine interest in financial markets.

Preferred Attributes

  • Experience with derivatives or structured financial products.
  • Background in P&L or risk reporting functions.
  • Possession of relevant FINRA licenses.

Additional Information

  • Typical work shift: first shift (US time zone).
  • Weekly work hours: 40.

返信をご希望の場合は、そのまま残してください。それ以外の目的には一切使用いたしません。

クリックして閲覧ドラッグ&ドロップ、または ペースト スクリーンショット

PNG、JPG、GIF、MP4、WebM、MOV形式 · 各ファイル最大20MB · 最大5ファイルまで

🤖
オンライン・即時AIサポート