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Bank Of America Bank Funding Senior Trader 
United States, North Carolina, Charlotte 
955576530

Yesterday

Key Responsibilities:

  • Develop strategies for funding execution, assessing market capacity, diversification, and financial impacts based on qualitative and quantitate analysis
  • Manage real-time deal execution process of debt and capital instrument offerings and communicate relevant deal updates to internal leadership and regulators
  • Analyze, propose, and execute strategic liability management actions to achieve targeted optimization of key metrics (P&L, NII, regulatory ratios, etc.)
  • Monitor and analyze trends in the primary and secondary global debt and capital markets, with a primary focus on BAC and peer debt and capital instruments, to provide market insight, communicate risks and actionable recommendations to Global Funding leadership
  • Engage with external counterparties (syndicate, debt capital markets, traders and diversity firms) on markets and deal-related dialogue
  • Maintain knowledge of current and proposed regulations to understand potential market and company-specific impacts
  • Monitor market environment and anticipate how external market factors may affect access to funding. React appropriately and elevate key risks
  • Ensure ready access to market funding sources, including operational preparedness and program documentation necessary to transact across all product capabilities of the desk
  • Produce liability and capital footprint analytics for management reporting and ad hoc financial analysis
  • Produce concise presentations and email summaries of market analyses and conclusions
  • Participate in stress testing and recovery and contingency planning exercises, providing expertise on funding dynamics in various scenarios
  • Prepare routine materials for regulators and coordinate responses to ad hoc requests
  • Perform ad-hoc projects, financial analysis related to the Company's debt and capital security footprint and prepare management reporting
  • Implement routines and a robust control environment that achieves compliance with all policies, procedures and directives relating to execution
  • Engage with Global Markets team to understand structured note forecasts, risks, and opportunities to facilitate responsible growth of business

Required Qualifications:

  • 7+ years finance or markets experience (Treasury, Trading, or Finance)
  • Understanding of markets, liquidity, financial math and risk
  • Strong Excel and PowerPoint skills
  • Strong analytical and decision-making skills
  • Critical thinking, attention to detail, analytical and investigative problem solving skills
  • Ability to work independently, with a team, with minimal supervision and efficiently prioritize tasks
  • Ability to communicate effectively across a broad range of constituents in verbal, written and presentation forms
  • Ability to build and maintain strong relationships across the Enterprise
  • Ability to thrive in a fast-paced, demanding environment, adapt to changing priorities and demonstrate initiative
  • Inquisitive, willing to challenge the status quo and strive to improve processes
  • Comfortable leading an initiative as well as playing a support role on a broader team

Desired Qualifications:

  • Undergraduate degree with economics, finance, or quantitative focus or related work experience
  • Strong understanding of fixed income and currency markets, in particular debt and capital instruments
  • Familiarity with financial regulatory environment
  • Bloomberg and other market sources
  • SQL and/or other advanced data manipulation skills
  • Tableau
  • Python
1st shift (United States of America)