As a Structurer in FIG, you will develop customized financial solutions for banks and insurers with our Sales & Trading partners. The team is very entrepreneurial hence your work will vary incredibly, from long-term projects, to analysing companies and forming tactical trade ideas. You will have exposure to a mix of products from various assets classes and help clients, sales and traders based in Europe and Asia.
Job Responsibilities
- Develop creative trade ideas and tailored solutions for clients, addressing needs such as Risk Hedging, Capital Optimization and Investment Solutions.
- Collaborate with the Institutional sales team (Rates, Credit, Equity) to deliver high-quality content and trade ideas.
- Communicate complex financial concepts and analysis to a broad range of audiences clearly and effectively (internally and externally)
- Conduct in-depth analysis and assessment of client needs to customize solutions accordingly.
- Maintain up-to-date knowledge of market trends and industry developments.
- Work closely with ALM, Treasury, and Capital Management functions within client organizations.
- Foster strong relationships with both external clients and internal sales partners.
Required qualifications, capabilities, and skills
- Strong quantitative skills
- Proficiency in Excel and PowerPoint,
- Programming skills (Python, Matlab, R)
- Ability to communicate clearly, concisely and confidently
- Intellectual curiosity and fast learner
- Passion for markets, banks/insurance and shifting regulatory landscapes
- Ability to engage at multiple levels across Accounting, Quantitative finance and Regulatory Frameworks
Preferred qualifications, capabilities, and skills
- CQF certificate or quantitative finance degree is a plus
- Fluency in German, Italian or Spanish is a plus