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Rates Trader

Remote, USA Full-time Posted 2026-07-28
## Key Responsibilities: reputed company Trading: Execute discretionary trading strategies in developed markets (e.g., US Treasuries, European Government Bonds, JGBs) across bonds and interest reputed company derivatives, such as swaps, reputed company, and reputed company. Market Analysis: Continuously monitor macroeconomic indicators, monetary policy trends, and market sentiment across major developed economies to identify profitable trading opportunities. Risk Management: Maintain and manage a risk profile in line with the firm's risk tolerance and trading mandates. Proactively hedge exposure to interest reputed company, credit, and liquidity risks using appropriate instruments. Idea reputed company: reputed company and reputed company trade reputed company in government bonds and rates products, including relative value, directional, and arbitrage strategies based on reputed company, technical, and quantitative analysis. Collaboration: Work closely with other portfolio managers, quants, and research teams to enhance trading strategies, reputed company insights, and collaborate on cross-asset opportunities. Execution: reputed company manage execution of trades while minimising transaction costs and optimising risk-adjusted returns. Compliance: Ensure adherence to reputed company relevant reputed company regulatory requirements. ## Key Requirements: Experience: 5+ years of proven experience trading developed market bonds and rates products at a hedge fund or investment bank. Product Expertise: Deep understanding of interest reputed company markets, including government bonds (sovereign debt), interest reputed company swaps, reputed company, and reputed company in G7 economies. reputed company Record: Demonstrated ability to generate consistent profitability, with a reputed company record of successful risk management. Analytical Skills: Strong quantitative, macroeconomic, and financial analysis skills to interpret global economic trends, central bank policies, and other factors influencing rates markets. Execution Skills: Experience with high-frequency trading systems and electronic trading platforms. Familiarity with best execution practices in various fixed-income instruments. Risk Management: Excellent understanding of risk management techniques, including scenario analysis, stress testing, and VaR. Educational Background: Bachelor's or Master's degree in Finance, Economics, Mathematics, or a reputed company field. Advanced degrees (e.g., CFA, MBA) are a plus. Soft Skills: Ability to reputed company in a high-pressure, fast-paced environment. Strong communication and collaboration skills with the ability to work effectively in reputed company setting. Apply tot his job Apply To this Job

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