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About the Role
The Trading Risk & Control group is seeking a motivated Analyst to join an interest rate derivative trading floor. This role offers the opportunity to learn all aspects of trading interest rate derivatives across major currencies, working within a small, collaborative team on a wide range of products including swaps, options, FX, and credit.
Responsibilities
- Input daily market parameters including swap rates, spreads, cap/floor and swaption vols, and exchange-traded security prices for over 25 currencies.
- Perform daily valuation of the derivatives portfolio, including production of greeks, mark-to-markets, and P&L attribution.
- Validate the accuracy of all market input parameters used for revaluation.
- Communicate with the middle office to resolve trade reconciliation issues.
- Accurately book all derivative trades in respective trading systems.
- Conduct daily risk and P&L analysis and report findings to senior management.
- Develop ad-hoc tools and analysis to assist traders in managing the derivative portfolio.
- Support the rollout of new products and trading strategies.
- Interact with financial analysts, quants, and traders.
- Solve problems quickly and independently under pressure.
- Manage multiple projects simultaneously.
- Proactively investigate and resolve trade discrepancies.
Requirements
- Undergraduate or Master’s degree in Financial Engineering, Finance, Computer Science, or a related quantitative/analytical field.
- Minimum of 2+ years of work experience in financial services.
- Excellent communication skills.
- Strong teamwork and work ethic.
- Meticulous attention to detail and constant accountability.
- Proficiency in Excel and VBA.
- Knowledge of Fixed Income.
- Must live within a reasonable commuting distance of the office location.
Skills
- Financial Engineering
- Finance
- Computer Science
- Quantitative Analysis
- Excel
- VBA
- Fixed Income
- Derivatives Trading
- Risk Analysis
- P&L Attribution
Location
- New York City, NY
Work Type
- Hybrid
Experience Level
- 2+ years of work experience
Education Level
- Undergraduate or Master’s Degree
Salary/Compensations
- $100,000.00 - $110,000.00
- Eligible for an annual discretionary incentive award
Benefits
- Competitive portfolio of benefits
About the Company
- SMBC Group is a top-tier global financial group headquartered in Tokyo with a 400-year history.
- Offers a diverse range of financial services including banking, leasing, securities, credit cards, and consumer finance.
- Operates in nearly 40 countries with over 130 offices and 80,000 employees.
- SMBC Capital Markets, Inc. is a derivatives trading company established in 1988.
Equal Opportunity
- SMBC provides reasonable accommodations during candidacy for applicants with disabilities consistent with applicable federal, state, and local law.