Job Responsibilities:
- Model, structure, and market interest rate products to financial sponsors and corporate clients.
- Price and execute interest rate swaps, options, and cross-currency swaps.
- Originate and lead negotiations for interest rate hedging opportunities, developing new strategies and presenting to senior client stakeholders.
- Collaborate on analytical work and client presentation materials.
- Partner with interest rate, foreign exchange, equity derivative, commodities and financing teams to explore broader market relationships and opportunities.
- Work globally with banking, trading, credit, structuring, and other internal partners to execute strategies.
- Support colleagues, especially junior team members, in a dynamic and collaborative team environment.
Required Qualifications, Capabilities, and Skills:
- 5+ years of experience in Rates or Foreign Exchange sales.
- 5+ years of experience working with sponsors or corporate clients.
- Strong knowledge of Global Markets, including FX, fixed income, and debt markets.
- High degree of ethics and integrity.
- Experience working collaboratively under pressure in a team-based environment.
- Proficiency in Derivative Pricing, Bloomberg, Microsoft Excel, Word, and PowerPoint.
Preferred Qualifications, Capabilities, and Skills:
- Experience in derivatives and/or structuring.
- Knowledge of hedge accounting concepts.
- Background in Corporate Finance.