
Fixed Income Trader
1 day ago
Location: Nariman Point, Mumbai
Experience: Minimum 5–7 years in Fixed Income / Proprietary Trading
Key Responsibilities:
- Proprietary Trading: Take directional and relative value positions across G-secs, Corporate Bonds, and Interest Rate Derivatives (OIS, IRF, IRS).
- Strategy Development: Design, back-test, and implement trading strategies across the yield curve, spreads, and cross-asset opportunities.
- Market Making & Arbitrage: Identify and execute arbitrage, curve, and liquidity trades to generate alpha.
- Risk Management: Manage trading book within approved risk capital limits; monitor PV01, DV01, VaR, liquidity, and concentration risks.
- Research & Analysis: Conduct macroeconomic, policy, and market analysis to anticipate rate moves, liquidity cycles, and RBI actions.
- P&L Ownership: Full accountability for the profitability of the trading book.
- Collaboration: Work closely with research, risk, and treasury teams to align strategies with overall portfolio objectives.
Required Skills & Competencies:
- Strong understanding of Fixed Income, Rates, and Derivatives markets.
- Proven track record of generating consistent trading profits.
- Deep knowledge of RBI policy impact, global macro trends, and capital market interlinkages.
- Advanced quantitative/analytical skills to model yield curves, spreads, and risk exposures.
- Ability to take calculated risks with discipline and manage high-pressure environments.
Qualifications:
- MBA (Finance) / CA / CFA preferred.
- Minimum 5–7 years in trading Fixed Income / Rates / Derivatives with proven P&L track record.
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