Opportunity Description
Job Purpose
Manage a rates trading book focused on products such as government bonds, interest-rate swaps, and related instruments. Optimize P&L under defined risk limits while providing pricing and liquidity to sales and clients.
Key Result Areas- Trade rates products such as government bonds, swaps, and repos within approved mandates.
- Provide competitive pricing and liquidity to internal Sales and key clients.
- Manage risk metrics such as duration, PV01, and basis exposures.
- Monitor macroeconomic data, central-bank policy, and market technicals to inform trading strategies.
- Coordinate with Market Risk and Product Control on reporting, valuation, and limit monitoring.
- 8-12 years’ experience in rates trading.
- Strong understanding of interest-rate markets and risk management.
- Proficiency in Bloomberg and risk tools.
- Degree in...
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